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ONDERZOEKSGROEP VOOR GEZONDHEIDSPSYCHOLOGIE
FACULTEIT PSYCHOLOGIE ENPEDAGOGISCHE WETENSCHAPPEN
A Psychoeducational Approach to Stress Management. An Implementation and Effectiveness Study
Tom Van Daele
van de graad van Doctor in de Psychologie
Prof. dr. Omer Van den Bergh, promotorProf. dr. Dirk Hermans, copromotor
Prof. dr. Chantal Van Audenhove, copromotor
2013
Summary
There is a growing emphasis in high-income countries on the importance of mental
health. However, the majority of people in need lack access to professional care and a
significant number of those who do get professional attention, ironically receive
overtreatment. A number of barriers need to be addressed in order to overcome these
issues. These barriers are situated within the general public and the patients
themselves, within the health professionals and within the policy makers. Addressing
them successfully would allow mental healthcare to shift from an instance that
primarily focuses on curing, to one that also pays attention to educating, coaching and
promoting mental health. A first step in achieving this goal is to set up stepped care,
which particularly requires extending the number of primary care interventions (e.g.
psychoeducational group interventions).
In this doctoral dissertation we focused on three policy oriented research topics. A
first topic is effectiveness, as we set out to evaluate the effectiveness of a local
adaptation of a psychoeducational intervention for stress. A matched control design
showed that people participating in the intervention showed a steady linear decline of
stress and symptoms of depression. This improvement could be noticed up until 18
months follow-up and almost 30 percent of all participants experienced a clinically
significant and reliable change. Furthermore, we wanted to gain additional insight in
the overall evidence base for psychoeducational interventions that focus on stress
reduction and we also wanted to chart possible moderators of effectiveness. A
systematic review and meta-analysis was therefore conducted, which reported small
but consistently positive effects of short-term effectiveness. For long-term
effectiveness, results were less pronounced. As for the moderators, brief interventions
for women appeared to be most effective.
A second research topic is implementation, of which the importance became
apparent during the previously mentioned intervention study. A recurring topic for
researchers and partners who collaborate in the field is the dealing with issues of
fidelity and adaptation of interventions. We set out to help address this issue and our
personal experiences combined with a search in literature resulted in the construction
of ‘empowerment implementation’, a framework for implementation research. The
applicability of this framework was demonstrated using the psychoeducational
intervention study mentioned earlier.
A third and final research topic is prediction. We also wanted to investigate whether
we could predict to what extent participants could benefit from our psychoeducational
group intervention. We therefore considered the use of overgeneral memory as such a
predictor. In a first study, we found that the more specific responses participants
provided on the Autobiographical Memory Task (AMT, which has the capacity to
measure overgeneral memory), the more their problem solving strategies increased
during the intervention. Because of these encouraging results, we set out to investigate
whether the AMT could also be used to predict the evolution of a non-treated
population, using the large convenience sample of control subjects from the
effectiveness study. Results showed that, when controlling for baseline symptoms,
overgeneral memory could predict long-term changes for both depression and anxiety
after one year and 18 months.
After detailed reporting on each of these topics, the dissertation concludes with a
general discussion in which a synthesis of the three topics is made. Furthermore,
limitations and future perspectives are highlighted and we also reflect on the
characteristics of a PhD focusing on policy oriented research. Finally, a number of
general and specific policy recommendations are also made.
Samenvatting
In hoge inkomenslanden is er in toenemende mate aandacht voor geestelijke
gezondheid. De meerderheid van de bevolking die met psychische klachten kampt en
die nood heeft aan professionele zorg heeft hier echter geen toegang tot. Van zij die er
wel beroep op kunnen doen, worden er ironisch genoeg een aanzienlijk aantal
overbehandeld. Om deze problemen op te lossen moeten er op verschillende niveaus
barrières worden aangepakt: bij de publieke opinie en de patiënten zelf, bij de
zorgprofessionals en bij de beleidsmakers. Dit kan de geestelijke gezondheidszorg
toelaten om te evolueren van een instantie met als hoofdfocus zorgen en genezen, naar
een die ook aandacht besteedt aan gezondheidspromotie en preventie. Een eerste
belangrijke stap is het implementeren van eerstelijnsinterventies – zoals psycho-
educatieve groepsinterventies – in het kader van de uitbreiding van getrapte zorg.
Dit doctoraat behandelt drie beleidsgerelateerde onderwerpen. Een eerste is
effectiviteit, waarbij we als doel hadden om de effectiviteit van een lokale aanpassing
van een psycho-educatieve groepsinterventie voor stress te evalueren. Een matched
control design toonde aan dat deelnemers een geleidelijke, lineaire daling van stress en
depressieve symptomen vertoonden. Deze verbetering was merkbaar tot anderhalf jaar
na de interventie en in die periode realiseerde zowat dertig procent van de deelnemers
een klinisch significante en betrouwbare verandering. Daarnaast waren we ook
geïnteresseerd in de algemene onderzoeksevidentie van psycho-educatieve
groepsinterventies voor stress en of er moderatoren waren die een invloed hadden op
hun effectiviteit. Een systematische review en meta-analyse vonden kleine, consistent
positieve effecten op korte termijn, maar op langere termijn waren de effecten minder
duidelijk. Wat de moderatoren betreft, leken kortdurende interventies voor vrouwen
het meest effectief.
Een tweede onderwerp is implementatie, een topic waarvan het belang ons
duidelijk werd tijdens het evalueren van de interventie die we eerder vermeldden. Een
terugkerend aspect in de samenwerking tussen onderzoekers en lokale partners bleek
namelijk de ogenschijnlijke tegenstelling tussen (het bewaren van) betrouwbaarheid en
(het toestaan van) flexibiliteit bij het implementeren van interventies. Onze
persoonlijke ervaringen en een literatuurstudie lieten toe om een mogelijke oplossing
voor dit probleem te formuleren: empowerment implementation, een
wetenschappelijk kader voor implementatieonderzoek. De praktische toepasbaarheid
van dit kader werd vervolgens geïllustreerd aan de hand van de psycho-educatieve
groepsinterventie.
Een derde een laatste onderwerp is predictie. We wilden namelijk ook onderzoeken
of het mogelijk was om te voorspellen in welke mate individuele deelnemers baat
hebben van de psycho-educatieve groepsinterventie. We maakten hiervoor gebruik van
overalgemeen geheugen als predictor. In een eerste studie vonden we dat hoe
specifieker deelnemers hun antwoorden konden formuleren op de Autobiografische
Geheugen Taak (AGT, een instrument dat ondermeer overalgemeen geheugen kan
meten), hoe meer hun probleemoplossende strategieën toenamen tijdens de
interventie. Omwille van deze bemoedigende resultaten onderzochten we verder of de
AGT ook een rol kon spelen in het voorspelen van de klachtenevolutie bij personen die
geen behandeling volgden. We konden hiervoor gebruik maken van de aanzienlijke
hoeveelheid data van de participanten die deel uitmaakten van de controlegroep van
de effectiviteitsstudie. Overalgemeen geheugen bleek de langetermijnsevolutie van de
depressieve en angstgerelateerde klachten van deze deelnemers te voorspellen,
wanneer we controleerden voor hun klachten bij aanvang.
Na een gedetailleerd overzicht van elk van deze onderwerpen wordt de
doctoraatsverhandeling afgerond met een algemene discussie waarin we tot een
synthese komen van deze drie onderwerpen. Vervolgens worden de beperkingen van
de huidige studies opgelijst, samen met suggesties voor toekomstig onderzoek. We
staan daarna nog even stil bij de karakteristieken van een doctoraat met als focus
beleidsrelevant onderzoek om uiteindelijk ook een aantal algemene en specifieke
beleidsaanbevelingen te formuleren.
vii
Contents
1 General introduction ........................................................................... 1
1 Mental health in high income countries ............................................ 1
2 The current challenges for successful mental healthcare .................. 4
3 A paradigm shift from curing to educating, coaching and
promoting ......................................................................................... 11
4 The aim of this PhD ........................................................................... 29
Research Topic 1 : Effectiveness
2 Stress Reduction through psychoeducation: a meta-analytic review.. 33
1 Introduction ...................................................................................... 34
2 Method ............................................................................................. 40
3 Results .............................................................................................. 43
4 Discussion ......................................................................................... 49
5 Limitations and directions for future research ................................. 50
3 Effectiveness of a six session stress reduction program for groups ...... 53
1 Introduction ...................................................................................... 54
2 Method ............................................................................................. 56
3 Results .............................................................................................. 61
4 Discussion ......................................................................................... 66
Research Topic 2 : Implementation
4 Empowerment implementation: enhancing fidelity and adaptation in a
psychoeducational intervention ......................................................... 73
1 Introduction ...................................................................................... 74
2 Empowerment implementation ....................................................... 78
Contents
viii
3 Example: implementation of a psychoeducational group
intervention ...................................................................................... 83
4 Discussion ......................................................................................... 90
5 Conclusion ........................................................................................ 91
Research Topic 3 : Prediction
5 Reduced memory specificity predicts the acquisition of problem solving
skills in psychoeducation.................................................................... 95
1 Introduction ...................................................................................... 96
2 Method ........................................................................................... 100
3 Results ............................................................................................ 104
4 Discussion ....................................................................................... 107
6 Overgeneral autobiographical memory predicts changes in depression
and anxiety in a community sample ................................................ 111
1 Introduction .................................................................................... 112
2 Method ........................................................................................... 117
3 Results ............................................................................................ 120
4 Discussion ....................................................................................... 121
7 General discussion ........................................................................... 125
1 Research topics and main results ................................................... 126
2 Limitations and future perspectives ............................................... 133
3 Characteristics of the research in this PhD ..................................... 142
4 Specific implications and general policy recommendations .......... 145
ix
List of Tables
Table 1 Operationalization and descriptive statistics for moderators ......... 37
Table 2 Summary of studies included in the review .................................... 42
Table 3 Moderator values and effect sizes for psychoeducational and stress
reduction programs ...................................................................................... 45
Table 4 Effects for moderators ..................................................................... 47
Table 5 Sociodemographics for intervention group and matched control
group in percent ........................................................................................... 62
Tabel 6 Evolution of intervention group and matched control group ........ 63
Tabel 7 Changes in self-reported complaints after course participation ... 105
Tabel 8 Means and standard deviations on the different categories of the
autobiographical memory test ................................................................... 106
Table 9 Hierachical Linear Model and results of DASS-21-subscales of
depression and anxiety as the dependent variables. ................................. 119
Table 10 Descriptive statistics for the DASS-21-subscales of depression and
anxiety. ....................................................................................................... 120
x
xi
List of Figures
Figure 1. The mental health intervention spectrum (National Research
Council & Institute for Medical Research, 2009). ......................................... 13
Figure 2. Flow chart of the search strategy .................................................. 43
Figure 3. Overall effects of the interventions on stress at posttest ............. 48
Figure 4. Overall effect of the interventions on stress at follow-up ............ 48
Figure 5. Comparison of DASS-scores between participants with a low- and
high-level baseline of complaints. ................................................................ 65
Figure 6. Relationship between the AMT percentage of specific memories
and the SAD-MEPS change score for number of means. ........................... 107
Figure 7. Relationship between policy, research and practice. .................. 143
xii
1
Chapter 1
General introduction
1 Mental health in high income countries
The World Health Organization (WHO) proposed in 2005 that “there is no
health without mental health” (WHO, 2005, p.11). This statement illustrates the
growing emphasis in high-income countries on the importance of not only a
healthy body, but also a healthy mind. But what is mental health exactly?
Among the many definitions available, Maercker and Zoellner (2004, p.42)
consider mental health a broadly termed construct “... defined as a processing
function not only to feel good about oneself, but also to develop good social
relationships; engage in productive, creative work; and combat subsequent
stress effectively”. The WHO (2001, p. 1) seems to concur with this point of
view and defines mental health “as a state of well-being in which every
individual realizes his or her own potential, can cope with the normal stresses of
life, can work productively and fruitfully, and is able to make a contribution to
her or his community”. When one or more of these conditions are not met,
people face mental illness.
If such symptoms arise, the Diagnostic and Statistical Manual of Mental
Disorders (DSM-IV-TR, American Psychiatric Association, 2000) and the
International Classification of Diseases (ICD-10, World Health Organization,
2008) are classification systems that can be used to diagnose common mental
disorders like depression and anxiety. Approximately 50% of the US-population
meets criteria for one or more of these mental disorders in their lifetime,
whereas about 25% of the population meets criteria in any given year (Kessler
& Wang, 2008). However, prevalence rates have high variability among
countries. Because recent WHO studies showed that the highest prevalence
estimates were documented in the United States of America (Kessler et al.,
General introduction
2
2009), these numbers should therefore be interpreted with caution. European
data are available both from population studies and from primary care settings.
In ESEMeD, a European population study, Alonso et al. (2007) found a more
modest number compared to that of the United States, with a lifetime
prevalence of around 26% and a prevalence rate in the past year of almost
12%. Among all disorders, the most common mental disorders in the past year
were anxiety disorders (6%) and mood disorders (4%). Although it may seem
sensible to think that the actual prevalence rates are somewhere in-between
the American and European ones, there are several reasons to assume that
these still gravely underestimate the total rate of psychological dysfunction in
the population.
A first reason is that several specific criteria are required in order to be
officially diagnosed with a mental disorder. When failing to meet only one
criterion, the person’s state would not be considered a mental disorder, but
would still be associated with dysfunction or impairment. For depression, for
example, there is a vast amount of evidence indicating that a dimensional
approach is more valid than a categorical approach (Blatt, 1974; Haslam, 2003,
Kendler & Gardner, 1998; Ruscio & Ruscio, 2000; Solom et al., 2001, cited in
Luyten & Blatt, 2007). Several authors have therefore already suggested that,
at least for this disorder, arbitrary consensus-based cut-off criteria should be
open to re-evaluation (Brown & Barlow, 2005; First, 2005; Luyten & Blatt,
2007). A second point is made by Moffit et al. (2010), who remark that
prevalence rates are often, if not always, determined using retrospective
studies. However, such studies may undercount lifetime prevalence rates due
to recall failure. In order to test this hypothesis, a prospective longitudinal
study was conducted that determined the prevalence of lifetime disorder up to
the age of 32 for anxiety and depression. Results showed that the prevalence
rates were approximately doubled in prospective as compared to retrospective
data for both disorder types. In general, there are strong indications that a vast
Chapter 1
3
part of the population is at least once in their lifetime confronted with some
form of mental illness. Such a confrontation should not be taken lightly as
mental disorders have a substantial contribution to disease. Their impact can
be measured in terms of disability-adjusted-life years (DALYs), which is an
integrative measure of overall disease burden (Murray & Lopez, 1996).
Worldwide, depression currently accounts for one tenth of all DALYs, which is
similar to the 11% DALYs attributed to cancer (Prince et al., 2007). Projections
of global mortality and burden of disease expect depressive disorders to be one
of the three leading causes by 2030, together with HIV/AIDS and ischemic heart
disease (Mathers & Loncar, 2006).
When primary care settings are considered in particular, screening is
sometimes done here using the Diagnostic Manual of Mental Disorders Primary
Care Version (DSM-IV PC; American Psychiatric Association, 1995), but as
Williams, Noël, Cordes, Ramirez, and Pignone (2002) point out, more often
short instruments are used like the Beck Depression Inventory (BDI; Beck,
Ward, Mock, & Erbaugh, 1961), the Centre for Epidemiologic Studies
Depression Scale (CES-D; Radloff, 1977) or the Patient Health Questionnaire
(PHQ-9; Spitzer, Kroenke, & Williams, 1999). Although these instruments
strictly cannot be used to diagnose mental disorders, these are often used as
provisional ways of detecting them. Similar prevalence rates can also be found
here, with depression in the past year for example between 1% and 10%
(Bartholomeeusen, Kim, & Mertens, 2005; Lamberts, Oskam, & Hofman-Okkes,
1994). The reason why these numbers appear lower compared to the larger
epidemiological studies might be twofold. On the one hand general
practitioners (GPs) can use slightly different criteria to determine specific
mental disorders, which do not always correspond to those of manuals like the
DSM-IV-TR. Furthermore, GPs have to be vigilant for a very wide range of
(mental) disorders, some of which have low prevalence and incidence rates in
the population and therefore might go undetected (Buntinx et al., 2004). On
General introduction
4
the other hand, on average 69% of patients with depression and 76% of
patients with mood or anxiety symptoms only report physical problems (De
Lepeleire, 2011). During a consult, time is often limited and both patients and
GPs have to prioritize which issues to address. When such competing demands
are present, physical complaints receive more attention compared to
psychological complaints (Klinkman, 1997), which reduces the number of
detections of mental disorders.
In conclusion, mental disorders have a significant impact on the general
population, and these are only expected to increase in the following decades.
This outlook is especially relevant for healthcare in high-income countries.
Although prevalence rates are also similar in low-income countries, the main
priority there remains to address communicable diseases, whose share and
impact is a much larger compared to high-income countries (WHO, 2010). For
these high-income countries, mental healthcare (MHC) may already make up a
larger portion of the healthcare system, but an additional increase in the
number of people affected and seeking help should still be anticipated.
2 The current challenges for successful mental healthcare
Even when more conservative numbers are considered it appears that the
majority of people with mental disorders lack access to professional care.
Currently, less than one in three receives treatment (Bebbington et al., 2000a;
Bebbington et al., 2000b, Kessler et al., 2005). In addition, a number of people
who are currently receiving treatment might not even need professional help.
Lauber, Nordt, and Rössler (2005) presented mental health professionals with a
vignette depicting either a person with schizophrenia, major depression or
without any psychiatric symptoms (a ‘non-case’). For this non-case, over 50%
proposed medical help, i.e. additional consults with psychologists and GPs.
Although a vignette study implies a hypothetical scenario and is therefore not
completely similar to real-life situations, it does provide an indication that in a
Chapter 1
5
number of cases there might be a potential overtreatment in the absence of
relevant symptomatology. A study by Tiemeier et al. (2002) that specifically
aimed at the treatment of depression, showed more positive results, with only
around 10% overtreatment. Such studies highlight the importance of reducing
overtreatment, which implies – for one – a more accurate detection of mental
disorders. However, the number of people who actually need help, but are
lacking treatment is an even larger problem. Addressing this issue proves to be
complex, as there are some barriers that need to be overcome. These barriers
are situated at several levels: within the general public and the patients
themselves, within the health professionals at the primary care level and within
the policy makers. Each of these levels will be briefly discussed.
2.1 The general public and the patients
At the level of the general public, there are two main reasons as to why people
are not receiving the necessary treatment: The first reason is a lack of
knowledge. A relevant concept in this context is ‘mental health literacy’, which
is defined as “the knowledge and beliefs about mental disorders which aid their
recognition, management or prevention” (Jorm et al., 1997, p. 182). More
specifically, mental health literacy consists of several components including
knowledge and beliefs about risk factors and causes, available interventions,
the possibility to recognize specific disorders, attitudes towards help seeking,
and knowledge of how to seek information. One example of an intervention
used to address this issue is the Australian ‘beyondblue’ campaign. In order to
increase mental health literacy, public awareness activities were set up in a
number of states, including the distribution of posters, pamphlets and
postcards, a website with information, television advertising, advertisements in
print media, and educational videos (Morgan & Jorm, 2007). When initiatives
like ‘beyondblue’ are undertaken, the main idea is that this will lead to
increased help seeking (Goldney & Fisher, 2008). The evidence for this claim is
General introduction
6
mixed. Overall, such campaigns are successful, as different studies show that in
recent years the public has gained more knowledge about causes and available
interventions (Angermeyer & Matschinger, 2005; Jorm, Christensen, & Griffiths,
2005a), that they have become better at recognizing mental disorders
(Goldney, Fisher, Dal Grande, & Taylor, 2005; Jorm, Chirstensen, & Griffiths,
2005b) and that willingness to seek professional help has also increased
(Angermeyer & Matschinger, 2005; Mojtabai, 2007). However, it seems
questionable that these changes also had an impact on the general attitude
towards people with mental illness. A study by Angermeyer, Holzinger, and
Matschinger (2009) showed that in recent years the desire for social distance
from people with depression even somewhat increased.
Knowledge alone seems insufficient, and therefore, there is also a second
main reason why people are not receiving the necessary treatment: negative
attitude. A large study by Lasalvia et al. (2012) conducted in 35 countries
showed that nearly eighty percent of people with MDD reported some
experiences of discrimination and almost one third stopped themselves from
doing something important in their life because of stigma or discrimination.
Stigma can therefore be considered a serious barrier to social participation and
to help seeking (Corrigan, Larson, & Rusch, 2009; Fuller, Edwards, Procter, &
Moss, 2000). There are nevertheless ways to reduce the reticence of the
general public to participate in preventive group interventions, for example
through awareness campaigns and mass social contact interventions that aim
to reduce (self-) stigma. One example is ‘Time to Change’, the largest anti-
stigma campaign in the UK ever (Henderson & Thornicroft, 2009). It did not
have a strong focus on educating, but rather aimed at mass level social contact
events through which members of the public with and without mental health
problems engage with each other in order to reduce discrimination and stigma.
There is already preliminary evidence that such interventions can work on a
mass level (Evans-Lacko et al., 2012). Combined with mental health literacy
Chapter 1
7
programs, such an approach may help to overcome barriers at the level of the
general public.
2.2 The health professionals
Health professionals at the primary care level, like GPs, pharmacists and
community facilitators can all play a role in the early detection, referral and
care of people with mental disorders. However, these tasks require knowledge
or skills, which sometimes appear to be lacking. Some studies have already
shown that about half of patients with depression in primary care are not
detected (Cepoiu et al., 2008) and that professionals in primary care require
guidance to address the social needs of depressed patients (Barley, Murray,
Walters, & Tylee, 2011). The rate of success varies according to the background
of the health professional. GPs can for example adequately detect depression
in most of their patients, with around 10% missed and 15% false positives
(Mitchell, Vaze, & Rao, 2009). On the other hand, 73% of pharmacists in a
Belgian study by Scheerder, De Coster, and Van Audenhove (2008) indicated
their lack of education in mental health issues being a barrier for providing
depression care. Finally, mental health issues are rarely a part of the education
of most community facilitators like clergy, police officers and teachers. For
them, there is a clear need for training in mental health issues (Farrell &
Goebert, 2008; McCrae et al. 2005; Vermette, Pinals, & Appelbaum, 2005;
Walter, Gouze, & Lim, 2006), just as there is for nurses (Ayalon, Area &
Bornfeld, 2008). However, like for the general public, providing knowledge is
not sufficient. Attention also has to be paid to the attitude of professionals. A
number of studies have already shown that GPs – despite their above average
knowledge of mental health – do not hold fewer stereotypes compared to the
general public (Lauber, Nordt, & Rössler, 2006) and seem less optimistic about
prognosis and long-term outcomes (Caldwell & Jorm, 2001). Similar results
have been found for pharmacists (Scheerder et al., 2009). Finally, the opinion
General introduction
8
of nurses seemed overall in line with those of GPs, although they are generally
more favourable towards the use of psychotherapy (Lauber et al., 2005).
As for addressing these issues, different interventions exist that incorporate
both knowledge and attitude change, like a Dutch GP training program by van
Os et al. (2002), which showed – among others – increased knowledge, a
limited (non significant) increase in the recognition of mental disorders and
significantly more patients receiving treatment according to clinical guidelines.
Similar other interventions seemed to be successful in supporting GPs (Hodges,
Inch, & Silver, 2001), nurses (Eisses et al., 2005), pharmacists (Bell, Whitehead,
Aslani, Sacker, & Chen, 2006) and the police (Watson, Corrigan, & Ottati, 2004)
in their role as gatekeepers for mental health.
2.3 Policy
One way to reduce the incidence of mental disorders, or to at least reduce their
impact, is through prevention and mental health promotion. There is strong
research evidence for the benefits of prevention, especially when physical
conditions are considered. This is partially reflected in the policies of the high-
income countries. Initiatives that require little effort and/or are mandatory
have high compliance rates. By means of vaccination, for example, over 90% of
parents take action to protect their children from infectious diseases like
diphtheria, tetanus and pertussis (WHO, 2011). Preventive interventions that
require more complex behaviour, like systematic screening in the case of breast
cancer prevention, or making lifestyle changes to avoid metabolic syndrome,
are far more difficult to achieve (Ahlin & Billhult, 2012). Furthermore,
evaluating the merits of such interventions is difficult, and substantial time may
be required before effects are noticed and interventions ‘pay off’. These are
just some of the reasons that can account for why the budget for the
prevention of non-communicable diseases is rather small, compared to that of
sick care. The Organisation for Economic Co-operation and Development
Chapter 1
9
(OECD), comprising twenty high-income economies, estimates that on average
3% of the total health expenditure goes towards prevention, while the most is
spend on sick care (OECD, 2010).
When the MHC budget of any European country is considered, it is dwarfed
by the total healthcare budget. More specifically, around 6% is on average
spent on mental health. Within these constrained conditions, mental health
promotion and the prevention of mental disorders have to operate. Drawing
parallels with the prevention of physical conditions, not surprisingly, the
available budget is minuscule: about or below 1% of the total MHC budget
(Regional Office for Europe of the World Health Organization, 2010). It goes
without saying that such limited funding hampers the development of
preventive interventions and is certainly one of the main reasons for the
lagging of preventive interventions in the field of mental health. However,
these data can also be interpreted in a positive way, as a significant part of the
strong focus on sick care can actually be tackled at a policy making level. For
example, if for any European country efforts lead to a shift or reallocation of
0.06% of the total healthcare budget to the field of the prevention of mental
disorders, this would instantly double the available means. Such actions could
certainly have a strong impact on the field of prevention and the development
or improvement of preventive initiatives.
2.4 Conclusion
There are a number of barriers, outlined above, that hamper the access for
people with mental disorders to professional care. A lack of knowledge and
attitude in the general population, patients and professionals can be overcome
through targeted interventions. Furthermore, at a policy level, more attention
should be paid to the limited resources an important sector like MHC has to
deal with. More resources could for example be used to increase the number
of healthcare providers that – even with the small number of people actually
General introduction
10
seeking treatment – are already actually overwhelmed by requests for help.
However, solely increasing the number of healthcare providers does not
seem to be a valid solution. In most areas of primary care, short appointments
are offered to a large number of patients. This is often referred to as ‘low
contact, high volume’. Psychological therapies, on the other hand, offer one-to-
one interventions of substantial duration to relatively few patients. These are
‘high contact, low volume’ interventions (France, 1995, cited in Brown,
Boardman, Whittinger, & Ashworth, 2010). For both types of intervention, the
number of people in need greatly outrank the number of MHC professionals, in
the USA even at 107 to one (Hoge et al., 2007). This makes it impossible to
reach all of those in need. Even doubling the work force might have little
impact (Kazdin & Blase, 2011). One of the major topics in the current mental
health policy therefore remains to create easily accessible facilities for people
with mental health problems (WHO International Consortium in Psychiatric
Epidemiology, 2000).
One way to improve the access to and efficiency of MHC is through a
stepped-care approach. This represents an attempt to maximize the efficiency
of resource allocation in therapy. Low threshold and low cost interventions are
offered first, and more intensive and costly interventions are reserved for those
who are not sufficiently helped by the initial intervention (Everaert, Scheerder,
De Coster, Van Audenhove, 2007; Haaga, 2000). Studies that compared the
effectiveness of a stepped care approach with care as usual (CAU) have shown
that stepped care is more effective in reducing the risk of onset of mental
disorders (van‘t Veer-Tazelaar et al., 2009) and is equally effective as CAU in
treating mental disorders (van Straten, Tiemens, Hakkaart, Nolen, & Donker,
2006). Intensive and costly interventions are already well established (Andrews,
Issakidis, Sanderson, Corry, & Lapsley, 2004), but a further extension of the
portfolio of models of delivery for primary MHC is needed. When extending the
portfolio, attention should be paid not only to effectiveness of interventions,
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11
but also to the aspects of their dissemination and implementation. Most of all
however, such an extension can only be successful if it is embedded in a
broader paradigm shift. The MHC system currently has a strong focus on
curating and although this is helpful for a substantial number of people, the
sector will need to move out of its comfort zone in order to better reach all of
those in need. This requires – at least partially – moving from curing to
educating, coaching and promoting mental health which will be highlighted in
the next chapter.
3 A paradigm shift from curing to educating, coaching and
promoting
The suggested paradigm shift for MHC in which the sector moves from curing
to educating, coaching and promoting mental health is not only reasonable
from a practical point of view, but can also be supported from theory. We will
first take a look at some theoretical background. Subsequently, a number of
aspects that are characteristic for the new paradigm will be highlighted,
followed by some methodological implications when studying interventions
within this new paradigm.
3.1 The theoretical background
The main rationale for implementing a new paradigm actually lies in how
mental disorders are classified. Throughout the years, there has been
increasing support for a shift from a categorical to a dimensional view on
mental disorders. Unfortunately, there is only some support for this view in the
new, fifth edition of the Diagnostic and Statistical Manual of Mental Disorder
(DSM-V). However a consensus has appeared in the discussions concerning its
controversial conceptualization (Uher, 2012), which Brown and Barlow (2005)
formulate as follows: “current psychosocial treatments have become overly
General introduction
12
specialized because they focus on disorder-specific features … neglecting
broader dimensions that are more germane to favourable long-term
outcomes”. In their opinion, higher order dimensions could be incorporated in
the DSM, representing general vulnerabilities, which would make the
instrument become highly relevant to the primary and secondary prevention of
mental disorders. Stein et al. (2010) continue on this line of thought and
indicate that the distinction already has eroded between psychopathology and
normal psychological phenomena (e.g. sadness after a major stressful event).
Such a dimensional view on mental disorders therefore implies an extended
focus beyond sick care, with an increase in the share of prevention and early
intervention in MHC.
If the mental health intervention spectrum is considered however (Figure
1), most of our efforts are still in the ‘treatment’ category, whereas the
categories ‘promotion’ and ‘prevention’ have previously received only limited
attention (Muñoz, Cuijpers, Smit, Barrera, & Leykin, 2010). There is however
substantial evidence that mentally healthy adults – individuals who were free
of a mental disorder in the past year and were flourishing – miss less days of
work, have the healthiest psychosocial functioning, the lowest risk of
cardiovascular disease, the lowest number of chronic physical diseases with
age, the fewest health limitation of activities of daily living and lower
healthcare utilization. The prevalence of flourishing is only twenty percent in
the adult population, though (Keyes, 2007). Making the efforts to create a
more accessible and extended primary care is therefore a logical step, but
should not be noncommittal, as more is involved than merely increasing the
existing portfolio of services. In view of the paradigm shift, the position of MHC
organizations in society actually evolves from instances that primarily treat, to
services that (also) provide guidance and education. By changing MHC and
offering an increased number of primary care services, MHC can convey a
strong and positive message: mental health is more than the absence of mental
Chapter 1
13
illness and everyone can learn how to maintain or improve his or her mental
health. However, for those who struggle and who need additional help or
guidance, individual ambulatory consultation or even residential treatment is
still available.
Figure 1. The mental health intervention spectrum (National Research Council
& Institute for Medical Research, 2009).
3.2 A paradigm shift: characteristics of a new approach
Shifting from one paradigm to another is not something that can happen
overnight, it is rather a gradual effortful process, as the new paradigm has to
build on existing systems and structures. In order to successfully extend
primary care services and give them a clear focus, there are a few
characteristics of the current paradigm that impede such a shift and therefore
General introduction
14
require to be changed. These are highlighted below and some suggestions are
also made as how to successfully overcome each of them.
3.2.1 From referral to self-referral
In general, when people experience mental health problems and seek
professional help, the first person they turn to is their GP. Not surprisingly, a
large proportion of a GPs’ daily workload consists of ‘common’ mental health
problems like depression and anxiety (Goldberg & Huxley, 1992). A significant
part of their primary care function in MHC involves prescribing medication
(Metaforum, 2010) and referring to psychological therapies (National Institute
for Clinical Excellence, 2009; cited in Brown, Boardman, Whittinger, &
Ashworth, 2010). However, only less than half of the GPs actually refer to such
therapies, a study of elderly GPs in the UK has shown (Collins, Katona, & Orrell,
1997). One of the main reasons for this limited referring is a lack of knowledge
about the different psychological therapies that are available. Furthermore,
GPs face daily challenges of urgent and competing demands for their limited
attention and resources (Lin, Simon, Katzelnick, & Pearson, 2001). In such
circumstances, prescribing medication takes only little effort and often also
meets the demands of the patient, who is looking for a ‘quick solution’ and
might not be interested in (costly) time consuming psychological therapies.
However, taking depression as an example, antidepressants are not that
effective in treating mild to moderate depression (van der Lem, van der Wee,
van Veen, & Zitman, 2012). So, in the long run, complaints may aggravate,
patients return to their GPs. More intensive (psychological) treatments are
required and also preferred by the patient at that point (Raue, Schulberg,
Moonseong, Klimstra, & Bruce, 2009; Steidtmann et al., 2012).
For the reasons mentioned above, targeted referral to interventions in the
field of primary MHC has not yet reached its full potential. An alternative way
for people to participate in such interventions is therefore often through self-
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15
referral: an intervention is promoted to the general public and attracts self-
registering community dwellers. This approach has some advantages: people
are for example not required to disclose their issues to their GP or anyone else
in order to participate, which otherwise might create an additional threshold
(Mischoulon et al., 2001). The people who are attracted by these interventions
and make use of self-registration can nonetheless have very different profiles.
If they already have elevated levels of complaints and decide to self-refer to a
low-intensity primary care intervention, the intervention might not fully meet
their needs. This furthermore also creates high heterogeneity in the participant
population, which is not beneficial for the group of participants as a whole.
Still, the benefits of self-referral do not seem to outweigh those of
professional referral. Therefore, it would still be preferred to further stimulate
specific referral of potential participants. One way is by informing (mental)
health professionals like GPs on the effectiveness of preventive interventions
and how to detect patients who are eligible for participation (Lin et al., 2001).
3.2.2 From individual to collective approaches
Individual psychotherapy is currently the dominant model of treatment
delivery (Kazdin & Blase, 2011). In a confidential setting, a therapeutic alliance
is created between a therapist and a patient in which they jointly try to
overcome the issues the patient presents him- or herself with. As mentioned
earlier, however, this is a very time consuming approach that is not really
suitable for preventive interventions, which need to reach a vast amount of
people. An alternative is therefore a collective approach, which allows one
professional to simultaneously reach a large group of individuals. Well-known
examples are stress management courses (Van Daele, Hermans, Van
Audenhove, & Van den Bergh, 2012) and (childhood) depression prevention
programs (Stice, Shaw, Bohon, Marti, & Rohde, 2009), where the professional is
considered the teacher and the participants are students. Such approaches
General introduction
16
may entail certain benefits, aside from the more effective use of the limited
means available. Validation and social comparison offer the opportunity for
participants to see that they are not struggling alone. They may also learn
additional tips and tricks from other participants, and when in need of
assistance, they can also reach out to fellow participants for social support
(Burlingame, 2010). Not only have such interventions proven to be effective,
but because of the efficient use of resources, they also offer good value for
money (Mihalopoulos, Vos, Pirkis, & Carter, 2012; Van Daele et al., 2012).
Despite these advantages, the attractiveness of group preventive
interventions remains limited. There are a number of aspects that may account
for this, and an important one highlighted earlier is the stigma related to
mental health issues. As previously mentioned, there are nevertheless ways to
reduce the reticence of the general public to participate in preventive group
interventions. One way to do this is through awareness campaigns and mass
social contact interventions that aim to reduce (self)-stigma (Evans-Lacko et al.,
2012).
3.2.3 From traditional psychological treatment to education and skill
training
‘Traditional’ psychological treatments start with patients seeking help for
specific problems. These initial problems give treatments a clear focus: the
target for patients is to learn how to deal with them or how to overcome them.
When they manage to do so, in a second phase, they can use the acquired
knowledge or skills to further optimize and improve their quality of life.
Guidance by a professional is at this point not really necessary, but rather
optional and a matter of personal choice. Preventive (group) interventions
work the other way around. The initial focus of such interventions is quite large
and not specific: participants do not necessarily have specific complaints or
symptoms, and even when they do, these are (preferably) still subclinical.
Chapter 1
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Contrary to traditional psychological treatment, people who participate in
group preventive interventions are not required to share their deepest
thoughts or feelings in group or with anyone in particular. During the
intervention they are rather considered students, who are educated and who
receive general information, for example on stress or depression. Furthermore,
they are taught skills to deal with both future and current problems. Although
these techniques can also be highly specific, teachers do not explicitly
determine which techniques should be used in which situations and leave this
up to the participants. When participants actually have to face their problems,
no professional is present to provide guidance. With their background
information and the techniques they have learned, participants are at that
point expected be able to manage their issues themselves.
Preventive (group) interventions therefore require a substantial amount of
initiative from individuals. A theoretical model like Prochaska and Diclemente’s
(1985) ‘Stages of Change’ can be used to illustrate this. In the first phase, which
is coined ‘precontemplation’, individuals are unaware of the fact that their
mental well-being is at risk and are not motivated to deal with their problems.
In a second phase, which is known as the ‘contemplation’ phase, participants
have to acknowledge they are lacking skills or information to adequately deal
with their everyday problems and that their problems might get out of hand if
no action is undertaken. In a third phase, ‘preparation stage’, individuals take
some limited action. Because this action is not systematic or coordinated,
success is varying. At this point, individuals are susceptible for initiatives like
preventive (group) interventions. If information on the intervention reaches
them and there are no additional barriers to enrolling, they can become
participants. Specific obstacles can for example be attitudes, norms, perceived
control, self-efficacy, habits, etc. (Reasoned Action Approach, Fishbein & Ajzen,
2010). The next phase, ‘action’, comprises the actual intervention. Individuals
need to participate and invest a significant amount of time and energy in
General introduction
18
learning how to deal with these (future) problems. In the fifth and final phase,
‘maintenance’, what was taught and learned during the intervention should be
kept in mind and trained, in order to prevent relapse.
It goes without saying that undertaking an endeavour as described above
without additional encouragement and support from peers or professionals,
requires substantial self-insight, problem solving skills, and courage. Ironically,
these are just the qualities that the people who are most in need of such
interventions are lacking and that the interventions are intended to help foster.
A relevant concept in this context is ‘empowerment’. Empowerment can be
defined as "… an intentional, ongoing process through which people lacking an
equal share of valued resources gain greater access to and control over those
resources". It offers individuals the opportunity to gain control over their lives
and over democratic participation in the life of their community (Berger &
Neuhaus, 1977, cited in Zimmerman & Rappaport, 1988). Empowerment
recognizes the vulnerabilities and limitations of individuals, but primarily
focuses on their potential and strengths. Empowering in MHC implies 1) a
positive basic attitude and 2) suitable participation. A positive basic attitude
implies that all people have an inherent capacity to learn, grow, and change.
Professionals should be open, available and respectful towards their patients. A
hierarchical relationship is not imposed, because the goal is to establish a true
partnership. Suitable participation means that deciding on treatment or help is
a collaborative effort which is established through an intensive dialogue
between professionals and help seekers (Van Regenmortel, 2009). Yet again,
the importance of competent referrers, preferably (mental) health
professionals like GPs, is therefore emphasized. Together with peers and family
and by listening to people who seek help, they can stimulate and motivate
potential participants by giving them the necessary information and courage to
deal with their problems.
Chapter 1
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3.2.4 Illustrations of primary care interventions in line with this new
paradigm
There are a number of primary care interventions that fit well within this new
paradigm. Two categories will be discussed and for both categories one
example will be highlighted.
Group interventions. A first category of primary care interventions are group
psychoeducational interventions, whose goal is twofold: transfer of knowledge
and the acquisition of skills. Both goals are aimed at in group sessions and
through homework assignments. Groups can be drawn from school classes,
associations, companies, primary healthcare units, or neighbourhood
organizations. In some cases, groups are even self-registered through media
advertisements. Psychoeducation can be considered an independent
intervention within the framework of a cognitive-behavioural approach.
According to Bäuml, Froböse, Kraemer, Rentrop, and Pitschel Walz (2006) a
‘proper’ group psychoeducational approach has the following characteristics:
teaching should be key, while other techniques – as relaxation, for example –
only serve to support these teaching activities. The teaching is provided
through standardized, non-individualized formats for each participant. During
the course, participants first receive information about the topic and how to
cope with it. In a second phase, they independently need to process and
implement this information. Although they are empowered to apply the
information to their personal lives and to develop skills that can help to
improve their situation, it is the responsibility of each participant to put into
practice what has been learned in the psychoeducational course.
One example is a psychoeducational intervention for stress called ‘Stress
Control’, a local adaptation of a program developed by White (2000; adaptation
by ISW-Limits, 2006). Psychoeducational interventions for stress are aimed at
reducing (perceived) stress, rather than preventing it. Nevertheless, these can
General introduction
20
still be considered as preventive interventions, for instance, given the link
between high levels of stress and the subsequent onset of mental disorders like
depression (van Praag, 2004). This specific intervention comprises six weekly
lessons of two hours. In these lessons participants are offered general
information on stress and related psychopathology, and are learned basic self-
help tips and techniques for short-term stress reduction. Examples are
controlling bodily sensations through progressive relaxation and breathing
exercises, cognitive techniques like challenging dysfunctional thoughts, and
also some practical techniques on problem-solving and ending safety
behaviours. Through homework assignments participants learn to apply the
general information to their own personal situation, and to create a
personalized frame of reference for the course content.
Online self-help interventions. Online self-help interventions fall under e-
mental health, which can be seen as “… a generic term to describe the use of
information and communication technology – in particular the many
technologies related to the internet – when these technologies are used to
support and improve mental health conditions and mental healthcare” (Riper et
al., 2010). E-mental health interventions have proven to be effective, efficient
and cost-effective for depression, anxiety, posttraumatic stress, eating
disorders and a wide variety of other forms of psychopathology (Griffiths,
Farrer, & Christensen, 2010). Most of the time, interventions are based on
cognitive-behavioural therapy (CBT; Andrews, Cuijpers, Craske, McEvoy, &
Titov, 2010), although recently the first studies based on psychodynamic
therapy have also been conducted, which show similar positive results for
depression and anxiety (Andersson, et al. 2012; Johansson et al., 2012). In
addition to treatment, e-mental health interventions can also be used for
prevention and in primary care, in which they have a large potential to reduce
disease burden primarily because they permit a low-cost, widespread
dissemination (Christensen & Hickie, 2010). Their delivery can occur through a
Chapter 1
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partnership within existing primary care structures (Hickie et al., 2010) or
through a virtual clinic environment supervised by health professionals
(Andrews & Titov, 2010). The first option has the advantage of being a part of
the regular mental health services and can also offer a first step towards access
to more traditional person-based services for those who might not otherwise
seek care (Ruggiero et al., 2006). The latter has the advantage of anonymity
and easy access for people who experience stigma concerning their mental
health problems. Both options are not mutually exclusive as an intervention
can be tailored for both delivery methods.
One example is the ‘Kleur je Leven’ (Colour your Life) intervention.
Originally developed by the Trimbos Institute and based on the
psychoeducational ‘Coping with Depression’ course (Cuijpers, Muñoz, Clarke, &
Lewinsohn, 2009), a Flemish version has been adapted by ISW-Limits (2009).
Participants can enrol independently on http://www.kleurjeleven.be or can be
targeted towards the intervention by their GP. This online cognitive
behavioural self-help intervention helps them cope with mild to moderate
depressive feelings. In eight weekly lessons (and one booster session)
participants are taught insights and skills to deal with depressive feelings. The
website makes use of streaming video material of ‘models’ (actors playing
participants), voice-overs, interactive exercises, a mood diary, homework and a
workbook. Each lesson has a fixed structure in which 1) the topic of the lesson
is introduced, 2) the participant completes a questionnaire on the homework
from the previous lesson, and 3) the curriculum with some assignments is run
through. Afterwards 4) instructions are delivered for the new homework
assignment and 5) the lesson is evaluated. The specific knowledge and skills
consist of: 1) information concerning the origin of depressive complaints and
the relationships between, thinking, acting and feeling, 2) techniques to
improve relaxation, 3) techniques to plan and undertake more fun activities, 4)
techniques to reduce worrying, 5) skills in constructive thinking, through
General introduction
22
detecting mood deteriorating thoughts and challenging these in order to
improve participant’s mood, 6) skills in coping with problems experienced with
(significant) others, and 7) increased assertiveness by expressing feelings and
thoughts and standing up for themselves (ISW Limits, 2009).
3.3 The methodological implications when studying primary care
interventions like group interventions
There are roughly two different ways of conducting research to determine the
effects of interventions similar to the ones described above: in carefully
controlled clinical trials or in a more applied context. The first, focusing on
efficacy is known for its high internal validity, but results are more difficult to
generalize. The latter, paying attention to effectiveness is high on external
validity, but is not as carefully controlled. Efficacy has primarily been favoured
by the research community, whereas the practice community prefers
effectiveness (Stricker, 2000). Because research is often conducted in highly
controlled academic settings, the efficacy of most interventions is well
documented. There is however a sharp contrast with the limited knowledge as
to how effective they are in everyday practice. Over the years, there has been
an increasing demand for research that bridges this gap (Glasgow, Lichtenstein,
& Marcus, 2003) and that evaluates the effectiveness of interventions (Jane-
Llopis, Hosman, & Saxena, 2004). This requires additional implementation in
real-life circumstances. When primary care interventions are evaluated
however, a number of issues that hamper the research process can be
encountered: not only for the actual implementation of the intervention, but
also for the interpretation of results. A number of these issues, both from
literature and own experience, are highlighted below.
Chapter 1
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3.3.1 The participant profile
People who are attracted by a preventive group intervention can have very
different profiles. Without systematic screening, a group may for example
include participants who are simply interested in learning about a specific
mental health problem, but also those who already have elevated symptoms
and are hoping for quick symptom reduction. The variety of participants’
interests matches the variety of goals of these interventions, because their
main focus is not on curing, but rather on educating and giving people the
necessary support and tools to self manage and safeguard their mental health.
Because such interventions are often set-up in the local community with local
partners, this provides a low threshold for participation. Participants can
therefore easily commence such a course, but when the intervention does not
meet their expectations, they can also as easily cease to participate and drop
out.
Furthermore, within the group of participants, mixed results are often
obtained. Some participants can show strong declines in symptoms and
experience great benefits, whereas the symptoms of others remain stable or
even deteriorate (Van Daele et al., 2012). Because an intervention can also
attract a large number of participants who choose to follow the course out of
curiosity, this translates in few cases with quite low symptom profiles at
baseline, possibly causing floor effects. An intervention might therefore have
seemingly little effect, both in the short and in the long term. In such case, it
would nevertheless be premature to conclude that the intervention is
ineffective, because also for this particular subgroup of participants, there may
be long-term advantages. When they are facing life events or aversive
conditions in the future, they may be able to rely on knowledge from the
intervention to better cope with them. Because of the low frequency of such
events, it is however difficult to measure such effects. In conclusion, the
participant profile for effectiveness studies has two main challenges for
General introduction
24
researchers: 1) to have a clear idea of which participants are attracted by a
specific intervention and 2) to try to accurately predict the effectiveness for an
intervention not as a whole, but for the individual participant.
3.3.2 Determining intervention effects
Because of this divergent participant profile, there may also be some unclarity
as to when an intervention is considered successful. Without a doubt, the most
suitable outcome for a preventive intervention should be the long-term
reduction of the probability of (the targeted) mental disorder for intervention
participants. This requires follow-up of sufficiently long duration. Because
means are typically limited, follow-up periods are often insufficiently long to
fully measure the effects of a preventive intervention. Therefore, the short-
term reduction of (secondary) symptoms like stress, worrying, or ruminating
are also considered, as high levels of these symptoms are known to precede
more serious forms of psychopathology. A combination of both short-term (not
necessarily lasting) and long-term effects being measured and documented is
to be preferred (Stice et al., 2009).
3.3.3 A suitable research design
The randomised controlled trial (RCT) is often referred to as the ‘gold standard’
of research designs, the most convincing form of evidence to show that an
intervention is truly effective (Oxford Centre for Evidence-Based Medicine,
2011). The concept behind RCTs is simple: study participants are randomly
assigned to an intervention or a (waiting list or placebo or non-intervention)
control group. Subsequently, one or multiple changes are applied to the
intervention group (for example participating in a stress management course),
whereas all other factors are held constant for the control group. Comparing
measures before and after a period of intervention administration
subsequently allows for causal inferences of intervention effectiveness. The
Chapter 1
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methodology of an RCT basically mimics the methodology of laboratory
experiments, implying full control of the environment of the participant and
truly random (and blinded) allocation of participants to the experimental
conditions.
There is no reason to contest the use of an RCT, if the context allows it. In
the context of applied knowledge of primary care interventions, however, an
RCT is sometimes not preferable or possible. However, valuable alternatives
exist. Examples are the matched control design, the interrupted time-series
(ITS) design or the multiple baseline design. In a matched control design
participants from the intervention group are matched with controls based on a
number of variables believed to be confounders (Rothman & Greenland, 1998).
An important step in this design is the selection of confounding variables to use
as matching variables, as a wrong match may result in a loss of efficiency (Rose
& van der Laan, 2008). Time-series design makes use of a string of consecutive
observations which are interrupted by the introduction of an intervention to
see whether the slope or level of the series changes following the intervention
(Shadish, Cook, & Campbell, 2002). This design is especially appropriate when it
is known at what specific point an intervention will occur in prospective
studies, or when it occurred in retrospective studies (Mercer, DeVinney, Fine,
Green, & Dougherty, 2007). Finally, a multiple baseline design is a form of ITS
design, most often used during the development of interventions, when
combinations of components within effective interventions are being tested
(Biglan, Ary, & Wagenaar, 2000). For a multiple baseline design it is crucial to
have instruments that are suitable for repeated measurements and to have a
clear idea what a stable baseline, is and how far apart intervention should be
staggered (Mercer et al., 2007). As highlighted above, just like with the RCT,
these designs have their strengths and merits in specific situations, but they
also require a number of conditions to be met in order to produce valid results.
These designs can therefore be revalued for intervention studies in the field of
General introduction
26
prevention by giving more and explicit attention to the design aspects, for
example by using tools like the ‘TREND Statement’ (Des Jarlais, Lyles, Crepaz, &
the Trend Group, 2004). This checklist is designed for intervention evaluation
studies using nonrandomised designs and emphasizes 1) describing of the
intervention, 2) including the theoretical base, 3) describing of the comparison
condition, 4) full reporting of outcomes and 5) inclusion of information related
to the design needed to assess possible biases in outcome data. The ultimate
goal is to improve the quality of data reporting in peer-reviewed publications
so that the conduct and findings of studies are transparent. This in turn could
lead to an increased appreciation of non-randomised intervention studies as a
valid source for evidence-based practice and also allows for comparable
information across studies to be more easily consolidated and translated into
general knowledge and practice.
3.3.4 The implementation considerations
When pre-developed interventions are implemented in real-life contexts, there
is a strong tension between the principles of fidelity and adaptation. The
concept of ‘implementation fidelity’ refers to “the degree to which an
intervention or program is delivered as intended” (Carroll, 2007). Specifically, a
successful implementation is one that abides four components of fidelity:
adherence, exposure, quality of program delivery, and participant
responsiveness (Dane & Schneider, 1998). Mihalic (2002) describes each of
these components as follows: 1) ‘adherence’ refers to whether interventions
are delivered as intended, 2) ‘exposure’ refers to the number of sessions
implemented, session length, frequency of implementation of program
techniques, 3) ‘quality of program delivery’ refers to the manner in which staff
delivers a program, and 4) ‘participant responsiveness’ refers to the extent to
which participants are involved in program content. Hasson (2010) has
suggested two additional factors that moderate implementation fidelity,
Chapter 1
27
notably ‘recruitment’ and ‘context’. The concept of 5) ‘recruitment’ refers to
procedures that are used to attract potential program participants, whereas 6)
‘context’ refers to surrounding social systems, such as structures and cultures
of groups, inter-organizational linkages, and historical as well as concurrent
events. All these factors should be evaluated when conducting a process
evaluation. On the other hand, focusing on fidelity has also been criticized for
being rigid, as it assumes full compliance with the program as prescribed by the
program developer (Gresham et al., 2003). The fact that any change to the
program made by implementers is considered a bias and a threat to
implementation quality is at odds with the value placed on stakeholder
involvement and participation in health promotion (World Health Organization,
1986; Levy, Baldyga, & Jurkowski, 2003). An alternative approach to program
implementation is therefore to encourage adaptation rather than limit it. When
an intervention is implemented in the field, this therefore requires careful
balancing both principles. It is even more important when the implementation
of an intervention is also combined with evaluating its effectiveness. In such a
context, any unwanted or undocumented change to the intervention could
inadvertently lead to the invalid conclusion that an intervention is less effective
than it really is.
3.3.5 The importance of process evaluation
When an intervention is adapted, it is subjected to subtle changes. Therefore,
an important part of intervention research is the process evaluation. This is
necessary to understand the intervention results and enables program
management and accountability, which are essential to effective
implementation (Bartholomew, Parcel, Kok, & Gottlieb, 2011). This is especially
relevant when an intervention is evaluated in the field, because the research
component, which is necessary during the evaluation, is not always present
during standard implementation. There will therefore often be a slight
General introduction
28
difference between an intervention which is being investigated and the one
that is afterwards broadly disseminated. This points at the importance of
carefully considering factors that might influence outcomes and otherwise
could lead to faulty conclusions. A process evaluation of a study can help to
overcome these issues and bring some clarity.
As an illustration, one important aspect to consider in the research on
primary care interventions is the determinants of non-participatory behaviour.
The rationale for such analysis was found in a study by Brouwer et al. (2009),
who evaluated the motivation for people to use an online cognitive-
behavioural intervention. According to them – and in line with McGuire’s
(1985) ‘Persuasion Communication Matrix’ and Rogers’ (2003) ‘Diffusion of
Innovation theory’ – the following determinants for participating were
applicable: 1) user characteristics, 2) intervention characteristics, and 3)
characteristics of the source. Azjen (1988) found that user characteristics
comprise personal characteristics (like age and gender), individual cognitions
(like attitudes, perceived control and the intention to participate) and
motivation. Characteristics of the intervention are complexity, first impressions
and advantages for participating and finally, characteristics of the source are
credibility and reliability. Aside from typical barriers for primary care
interventions, which were highlighted in the previous chapter, performing
research on these interventions adds additional barriers. As for user
characteristics, some potential patients might for example have a negative
attitude towards research. Although these attitudes are generally positive,
some people do not prefer to participate in research, primarily because of a
fear of the unknown and resentments towards randomisations (Madsen et al.,
2002). These randomisations, a typical characteristic of intervention research,
might also be one of the most radical differences between an intervention with
and without a research component. As this implies the possibility of a waitlist
control, an alternative (placebo) treatment or a non-intervention control, this
Chapter 1
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can create a threshold for people who might initially be interested, but are
reluctant to participate in the prospect of ‘possibly ending up in the wrong
condition’. Finally, as for the characteristics of the source: when conducting an
intervention with a research component, a research centre is often involved,
which might not be well known to the public, or might appear to be less
reliable or credible as opposed to other primary care services. This may scare
away potential participants. This is one of the easiest barriers to remedy, as a
strong involvement of partners in the field, also in the promotion and
communication concerning the study, may help overcome this issue.
4 The aim of this PhD
As highlighted earlier, the choice for an increase in primary care interventions
is a bare necessity, as it may help to address to continuing lack of professional
care for a significant amount of people with mental health issues. Furthermore,
it also helps to facilitate a paradigm shift, in which a more positive view of
mental health is portrayed and people learn how to rely on their own strengths
and skills in order to safeguard their mental health.
A main goal of this PhD was to evaluate the effectiveness of a local adaptation
of a psychoeducational intervention for stress. As such primary care
interventions are still a rare commodity in Flanders, this effectiveness trial
could provide policy makers with relevant, local information as to how such
interventions perform in their local contexts. However, the goal of the PhD
extended beyond this. Aside from the evaluation of the Stress Control course,
we also wanted to gain additional insight in the overall evidence base for
psychoeducational interventions that focus on stress reduction. Therefore we
decide to conduct a systematic review of the literature, followed by a meta-
General introduction
30
analysis. The results of both endeavours are a first part of the publications,
labelled ‘effectiveness’.
During the evaluation, we were also confronted with several implementation
issues. These made us reconsider how researchers and their partners in the
field collaborate. We thought about how their (sometimes conflicting) views
could be reconciled, while still maintaining the high standards of scientific
research. This tension between adaptation and fidelity during intervention
implementation, and how to resolve it, is discussed in the second part of the
publications, labelled ‘implementation’.
As a third point of attention, an attempt was made to predict individual success
for intervention participants. The autobiographical memory task, a measure for
autobiographical memory specificity, was used to predict individual changes in
problem solving skills for intervention participants. Furthermore, this measure
was also explored as a possible tool to predict the evolution of mental health in
a natural context, for individuals from the general population. Both attempts
are discussed in greater detail in the third part of the publications, labelled
‘prediction’.
31
Research topic 1
Effectiveness
Van Daele, T., Hermans, D., Van Audenhove, C., & Van den Bergh, O. (2012). Stress
reduction through psychoeducation: a meta-analytic review. Health Education &
Behavior, 39, 474-485. doi: 10.1177/1090198111419202
Van Daele, T., Van Audenhove, C., Vansteenwegen, D., Hermans, D., & Van den Bergh,
O. (2013). Effectiveness of a Six Session Stress Reduction Program for Groups.
Manuscript submitted for publication
32
33
Chapter 2
Stress reduction through psychoeducation: a meta-
analytic review
The aim of this meta-analysis was to evaluate the effectiveness of psychoeducational
interventions in reducing stress and to gain more insight in determining features
moderating the magnitude of effects. Relevant studies were selected from 1990 to
2010 and were included according to predetermined criteria. For each study, the
standardized mean difference was calculated for the outcome measure primarily
related to stress. Nineteen studies met the inclusion criteria; for 16 studies,a
standardized mean difference could be calculated. The average effect size was .27 (95%
confidence interval = *.14, .40+) at posttest and .20 (95% confidence interval = *−.04,
.43]) at follow-up. To determine possible moderators of intervention effects, all 19
studies were included. Only interventions that were shorter in duration provided better
results. When a model with multiple moderators was considered, a model combining
both intervention duration and the number of women in an intervention was significant
and accounted for 42% of the variability found in the data set. Specifically, interventions
with more women that were shorter in duration obtained better results.
Keywords
meta-analysis, psychoeducation, reduction, review, stress
Stress reduction through psychoeducation
34
1 Introduction
Worldwide, people of different ages and backgrounds are facing stress.
Researchers found a vast increase of stress for adults as well as teenagers and
children in the past decade. As an example, nearly a quarter of the respondents
who were interviewed by the American Psychological Association (APA) for
their annual national stress report indicated they were experiencing a high
level (8, 9, or 10 on a 10-point scale) of stress (APA, 2009). In 2010, about 44%
of the Americans said they had experienced an increase in stress over the past
5 years (APA, 2010). Although a certain amount of life stress is inevitable and
can be beneficial for an individual, it is now widely acknowledged that chronic
stress is a major health burden, both physically and mentally. High levels of
self-perceived stress are, for example, closely related to the metabolic
syndrome (Chandola, Brunner, & Marmot, 2006), to coronary heart disease
(Rosengren et al., 2004), and to ischemic stroke (Jood, Redfors, Rosengren,
Blomstrand, & Jern, 2009). There is also a clear link between high levels of
stress and the subsequent onset of mental health disorders such as depression
(van Praag, 2004; Wang, 2004). One way to improve the efficiency and access
to MHC is through stepped care, in order to use healthcare resources at an
optimal level. Low-cost interventions are offered first, and more intensive and
costly interventions are reserved for those who are not sufficiently helped by
the initial intervention (Haaga, 2000). Because intensive and costly
interventions are already well established (Andrews, Issakidis, Sanderson,
Corry, & Lapsley, 2004), further extension of primary MHC through
interventions with low financial and accessibility thresholds are needed
(Bebbington, Brugha, et al.,2000; Bebbington, Meltzer, et al., 2000). A
technique often used to manage stress is psychoeducation. The goal of
psychoeducation is to help people acquire competencies to manage stress and
Chapter 2
35
preserve their mental health. The transfer of knowledge and the acquisition of
skills are reached in individual encounters, in group sessions, and/or through
homework assignments. Preventive psychoeducation is primarily offered to
groups. Oftentimes healthcare providers make use of group sessions, but the
Internet or self-help groups are also valid options. Groups can be drawn from
school classes, associations, companies, primary healthcare units, or
neighborhood organizations. In some cases, groups are self-registered through
media advertisements.
Psycheducation can be considered an independent intervention within the
framework of a cognitive–behavioural approach (Bäuml, Froböse, Kraemer,
Rentrop, & Pitschel-Walz, 2006). In line with these authors, we adopted the
following criteria for what should constitute a ‘proper’ group
psychoeducational intervention: Teaching should be key, whereas other
techniques — such as relaxation, for example — only serve to support these
teaching activities. The teaching is provided through standardized, non-
individualized formats for each participant. During the course, participants first
receive information about stress and how to cope with it. In a second phase,
they independently need to process and implement this information. Although
they are empowered to apply the information to their personal lives and
develop skills that can help improve their situation, it is the responsibility of
each participant to put into practice what has been learned in the
psychoeducational course. Psychoeducational interventions for stress are
aimed at reducing (perceived) stress rather than preventing it. Nevertheless,
these can still be considered as preventive interventions, given, for example,
the link between high levels of stress and the subsequent onset of a mental
health disorder such as depression (van Praag, 2004). Preventive
psychoeducation, in general, has been the subject of a large number of
reviews, but the main focus has mostly been the prevention of depression in
specific populations, such as children and adolescents (Andrews & Wilkinson,
Stress reduction through psychoeducation
36
2002; Gladstone & Beardslee, 2009; Merry, 2007; Merry, McDowell, Hetrick,
Bir, & Muller, 2004; Merry & Spence, 2007; Neil & Christensen, 2009).
Sometimes adults are targeted (Barrera, Torres, & Muñoz, 2007), even though
reviews on the effects of psychoeducation on stress have typically focused on
occupational stress (van der Klink, Blonk, Schene, & van Dijk, 2001). The
present meta-analysis will focus on psychoeducation for the reduction of stress
in the general population (i.e., participants with no predetermined or specific
[risk for] pathology). Both overall effects and specific moderators of effects will
be analyzed. For the latter, the study of Stice, Shaw, Bohon, Marti, and Rohde
(2009) has been used as a source of inspiration. In their review, a broad array
of features that may influence the effectiveness of interventions to prevent
depression were listed. Given their relevance for our purpose, most of these
moderators were retained and few new moderators were added. All
moderators, their descriptions, and coding are listed in Table 1. They can be
classified in three categories: 1) participant features: gender (percentage of
females), ethnicity (percentage of Whites), age (in years); 2) intervention
features: relaxation, intervention duration (in hours), whether the intervention
makes use of homework, group size (N in each group), whether there is room
for interaction between teacher and students and among students; and 3)
design features: randomization (whether participants were randomly assigned
to intervention and control conditions) and follow-up duration.
1.1 Gender
It is hypothesised that interventions including a high number of women will
produce larger effects. Women typically report more stress than men (Matud,
2004). It seems plausible that their high levels of initial stress and the stronger
need for stress relief would make it easier to find improvements in stress
responses, not only because of the effect of regression on the mean but also in
terms of actual improvements.
Chapter 2
37
Table 1 Operationalization and descriptive statistics for moderators
1.2 Ethnicity
There is a clear connection between ethnicity and (work) stress, independent
of work characteristics and sociodemographic, socioeconomic, and
occupational factors (Smith et al., 2005). As with gender, it is hypothesised that
groups with higher number of non-Whites will produce larger effects, because
of the higher initial level of stress.
1.3 Age
The targeted interventions cover a large age span. It is well known that there is
a steady increase in cognitive abilities from adolescence into adulthood.
Stress reduction through psychoeducation
38
Studies have furthermore shown that older adults are also more effective in
solving everyday problems (Blanchard-Fields, Mienaltowski, & Seay, 2007).
Because knowledge and skill transference require well-developed cognitive
abilities, a linear relationship between age and intervention is expected, right
up until early old age.
1.4 Relaxation
Various psychoeducational interventions include a relaxation component. Very
early on, the relevance of relaxation for stress reduction was already illustrated
by Carrington et al. (1980). Further research consolidated these finding, for
example, Esch, Fricchione, and Stefano (2003). Based on the evidence in the
literature, we hypothesize that interventions including this component will be
more effective.
1.5 Intervention Duration
The more time spent working on and learning about stress and stress-related
problems, the more knowledge transfer and skill development is expected to
ensue. We therefore expect a linear relationship between duration and
effectiveness.
1.6 Homework
We hypothesize that homework assignment will add beneficial effects,
especially for longer lasting interventions. This may enhance consolidation of
acquired knowledge, induce skill training, and bridge the gap between the
learning context and real life.
Chapter 2
39
1.7 Group Size
We hypothesize that students in smaller groups will be less distracted, more
involved, and have more possibilities to ask questions and receive additional,
personally relevant information. Therefore, interventions that make use of
small group sizes are expected to generate larger effects compared with
interventions with large groups, similar to effects found in classroom situations
(Ehrenberg, Brewer, Gamoran, & Willms, 2001).
1.8 Interactive
In some types of interventions there is room for interaction during the sessions
among group members. This aspect may work both ways: either it may
enhance social support mechanisms, create modeling effects, and so on, or it
may create an environment in which the participant feels pressure to open up
to fellow participants and/or the teacher. The latter may create tension that
subsequently interferes with the learning process. In general, it nevertheless
appears that interaction is beneficial during the learning process (King, 1990).
Therefore, we hypothesize that interventions in which interaction is present
will produce larger effects than interventions in which interaction is absent.
1.9 Randomization
We hypothesize that studies in which participants were randomly assigned to
the intervention and control conditions will produce smaller effect sizes. The
adequate and equal distributions of participants to the different conditions
provide perfect control for evolutions in the intervention group. This is a
superior alternative to research designs with nonrandomised controls and
Stress reduction through psychoeducation
40
minimizes allocation bias and possible confounding factors, both known and
unknown (Moher et al., 2010).
1.10 Follow-Up Duration
Similar programs typically produce the strongest effect sizes at posttest,
followed by a gradual decrease at each follow-up assessment (Stice, Shaw, &
Marti, 2007). We therefore hypothesize that the later on the follow-up is
conducted, the smaller the reported effect sizes will be.
In sum, the goal of this review is to provide an overview of the short- and long-
term effectiveness of psychoeducation for stress and their possible
moderators.
2 Method
2.1 Search Strategy
A comprehensive search on the literature was set up. First, major database
search engines were used, including MEDLINE, Web of Knowledge, Wiley
Interscience Journals, PubMed, Cochrane Library, Ovid, and Embase, to search
with predefined keywords. A detailed table with the keywords can be found in
the appendix. Second, relevant journals were searched by hand. These included
the International Journal of Stress Management, Work and Stress, and Anxiety,
Stress and Coping. Additionally, references of the studies included were
searched by hand, together with available reviews. If necessary elements for
data analysis were missing, authors were contacted for additional information.
Chapter 2
41
2.2 Inclusion Criteria
To identify relevant studies on the effectiveness of psychoeducation, that is,
having a focus on transmitting information on stress in a teaching format,
seven search criteria were determined. To be eligible a study had to be
published in the past 20 years (January 1990 to January 2010), had to be
published in an international (English language) journal, and needed to have a
preventive aim with a main focus on stress. Furthermore, each study had to
include a valid outcome measure of stress. Finally, it had to use methodology
that included quantitative longitudinal measurement and a quasi-experimental
or experimental design with a control condition. No participant age–related
exclusion criterion was used for any of the interventions.
2.3 Statistical Methods
2.3.1 Overall effect size estimation
As a primary outcome measure, the scores on different scales all measuring
(perceived) stress were used and were evaluated in a similar way to earlier
work by Martin, Sanderson, Cocker, and Hons (2009). Treatment effect sizes
were calculated using Hedge’s g, later on referred to as standardized mean
difference (SMD). This is the difference between posttreatment means, divided
by the pooled standard deviation, with adjustment for small sample bias. Each
study was coded so that a positive SMD indicated a superiority of the
intervention Group over the comparison group. Overall effect size was
calculated using the RevMan program (The Cochrane Center, The Cochrane
Collaboration, Copenhagen, Denmark). A random effects model was preferred
to a fixed effects model for the meta-analysis. Because not all the interventions
and outcome measures were exactly the same, this was the most suitable
method for evaluating the overall effect size (Higgins & Green, 2008).
Stress reduction through psychoeducation
42
Table 2 Summary of studies included in the review
2.3.2 Moderator analysis
Moderators were analyzed for the following: 1) participant features: gender
(percentage of females), ethnicity (percentage of whites), age (in years); 2)
intervention features: intervention content (knowledge transition, skill
transition, relaxation), intervention duration (in hours), whether the
intervention makes use of homework, group size (N in each group), whether
there are booster sessions, whether there is room for interaction between
Chapter 2
43
teacher and students; and 3) design features: follow-up duration. All data
concerning the moderators were entered into SAS software (version 9.1, SAS
Institute, Cary, NC). Because moderators are possibly confounded, analyses
were not only undertaken for each moderator separately but also for the group
of moderators as a whole using a sample size weighted regression model. If the
effect size was not reported, it was generated from the available data using
ClinTools (version 4.1; Devilly, 2005).
3 Results
3.1 Search Results
The search strategy generated 221 studies that met the inclusion criteria. The
inclusion and exclusion processes are summarized in Figure 2. Due to the large
scope of the search strategy, many of the initially retrieved studies were not
retained. Sixty-one articles appeared relevant after an initial screening, of
Figure 2. Flow chart of the search strategy
Stress reduction through psychoeducation
44
which 44 were excluded after closer inspection for not meeting one or more of
the predefined inclusion criteria. Finally, 17 articles – accounting for 19
studies – were accepted. Sixteen were used in the effect size estimation,
whereas all 19 studies could be included for the moderator analysis, which
required less stringent preconditions. Table 2 presents a brief summary of all
the studies included with a description of the sample and the intervention, the
intervention group size, the relevant outcome measure, and general findings.
3.2 Effect Size Estimation
The SMDs at posttest for each of the 16 studies included are presented in
Figure 2. These varied from a small negative effect of −.03 to a large effect of
.89. An overall positive effect was found. The inverse variance weighted SMD
was small, but significant with an SMD of .27 (95% confidence interval [CI] =
[.14, .40], p < .0001). Alternatively, effect sizes were also weighted using their
sample size (N). This produced similar results, with an SMD of .21 (95% CI =
[.12, .30]). Statistical heterogeneity is assessed using I2, a common method for
measuring the magnitude of between-study heterogeneity. Higher
heterogeneity makes it more difficult to interpret results. Generally,
percentages of around 25%, 50%, and 75% are considered, respectively, as low,
medium, and high heterogeneity (Huedo-Medina, Sanchez-Meca, Marin-
Martinez, & Botella, 2006). In this case, with 35%, medium statistical
heterogeneity is present. The study by Kirby, Williams, Hocking, Lane, and
Williams (2006) compared multiple interventions with the same control group.
Because this could introduce bias in the results, a sensitivity analysis was
undertaken. In this analysis, only the intervention with the most
comprehensive treatment group was included. This produced a similar overall
result with an SMD of .27 (95% CI = [.13, - .41]), indicating that including all
three Kirby et al. (2006) studies does not bias the results.
Chapter 2
45
Tab
le 3
Mo
de
rato
r va
lue
s an
d e
ffe
ct s
ize
s fo
r p
sych
oe
du
cati
on
al a
nd
str
ess
re
du
ctio
n p
rogr
ams
Stress reduction through psychoeducation
46
Another form of bias is publication bias. To take this into account, a weighted
‘fail-safe N’ statistic was calculated using Fail-Safe Number Calculator, a
software program based on the methods described in Rosenberg (2005).
Rosenberg’s fail-safe number using a random effects model was 22.8,
indicating at least 23 unpublished studies finding no effect would be needed to
produce an overall noneffect. Not all the aforementioned studies included a
follow-up measurement. The overall effect size estimation for relevant studies
can be found in Figure 3. Effect sizes varied from −.10 to .78. Contrary to the
results at posttest, the effect was not overall positive. Only a small effect was
found, and the results had a high amount of statistical heterogeneity (I² = 73%),
which makes them difficult to interpret. In general, the conclusion is that there
is mixed evidence when it comes to the long-term effects of psychoeducational
interventions for stress.
3.3 Moderator Analysis
When the results for the effect size estimation are taken into consideration,
there is little difference between weighing according to inverse variance and
weighing according to sample size. Therefore, we opted to weigh according to
sample size for the moderator analysis, taking benefit of the fact that all 19
studies – of which the sample size was known, but not always the variance –
could be included in the analysis. A schematic overview of the moderator
values and effect sizes for each study can be found in Table 3. Results of the
regression analysis are presented in Table 4.
Chapter 2
47
Table 4 Effects for moderators
3.3.1 At posttest
One moderator reached significance at posttest: ‘Intervention duration’.
Contrary to what could be expected, studies that evaluated interventions that
were short in duration found significantly better effects. When a model with
multiple moderators was considered, a model combining both intervention
duration and the number of women in an intervention was significant and
accounted for 42% of the variability found in the data set. Specifically,
interventions with more women that were shorter in duration obtained better
results. Other (combinations of) moderators did not produce significant effects.
3.3.2 At follow-up
A moderator that has a certain amount of variance and therefore still can be of
particular interest is ‘Time of follow-up since course end’. Apparently there is a
negative relationship between the follow-up effect found and the duration of
the follow-up (p < .0001). This could mean that psychoeducation does not
stand the test of time and beneficial effects tend to fade out. Moderator
effects found for follow-up results should be interpreted with caution though,
due to the small number of studies and the limited variance across the studies.
For the latter reason, no conclusions can be drawn for the – significant –
Stress reduction through psychoeducation
48
moderators ‘Participant Ethnicity’, ‘Participant Age’, and ‘Follow-up Duration’.
As with the effect size estimation, a sensitivity analysis was conducted for the
Kirby et al. (2006) studies. Again, all reported estimates were within the
confidence intervals reported in Table 4. As such, it could be concluded that
inclusion of the three Kirby et al. studies did not create bias.
Figure 3. Overall effects of the reviewed interventions on stress at posttest
Figure 4. Overall effect of the reviewed interventions on stress at follow-up
Chapter 2
49
4 Discussion
The first question was whether psychoeducational interventions are effective
in reducing stress. The effect sizes reported in this review are small, but
consistently positive, indicating effectiveness for this type of psychoeducation.
The overall effect (SMD = .27) is larger than in similar meta-analyses, for
example, the study by Martin et al. (2009) on the effects of health promotion
interventions for depression and anxiety symptoms (SMD = .05) or the study by
Stice et al. (2009) on depression prevention programs for children and
adolescents (r = .15). Learning about stress and extending techniques to cope
with it seems to contribute positively to mental health.
Despite a large variety in intervention formats, it appears that
psychoeducation is effective for people of varying ages, from different
backgrounds, and with different interests to follow a psychoeducational course.
Some remarks do have to be made, though. First, the results at follow-up are
relatively weak (SMD = .20) and – on average after 6 months – the confidence
interval of the overall SMD even reaches a negative effect size. This is contrary
to the idea that psychoeducational interventions provide people with skills to
continuously improve their mental health. On the other hand, because only
half of the reported studies record follow-up data, the evidence base for this
conclusion is in itself much weaker.
The second question was whether there were characteristics of a
psychoeducational intervention that would make it less or more effective. Only
intervention duration appeared as a significant moderator. A model including
intervention duration and participant gender explained 42% of the variance in
effects. Apparently, short lasting psychoeducational interventions for women
are most effective. These results are correlational. Therefore, we refrain from
making firm causal interpretations and advancing specific suggestions for
interventions. Several findings require further research: 1) Women appear to
benefit more than men from this type of intervention. This suggests that these
Stress reduction through psychoeducation
50
interventions should therefore primarily target women and that seeking an
alternative approach for men would be premature. This should be further
investigated, preferably in an RCT, dividing men and women at random over an
intervention group and a waiting list control/placebo/alternative approach
group. 2) Shorter interventions obtain better effects, which is contradictory to
what was hypothesised originally. Future research could focus on two
alternative hypotheses: that a shorter intervention is more effective in
transferring a set of knowledge and skills than a longer lasting intervention and
that people who opt to participate in shorter interventions generally benefit
more from this type of intervention because of specific characteristics. With
the worldwide expansion of primary care, preventive interventions for groups
that are short lasting and easily accessible are quickly emerging. Although
mostly focusing on depression, stress-related interventions are also on the rise.
Together with this rise, a clear need emerges for evaluating the effectiveness of
these interventions. The goal of this review was to provide some insight in the
nature of these interventions and their target groups, as well as to map what is
currently subject to research. Last, but not least, some additional, more general
recommendations for future research are provided.
5 Limitations and directions for future research
The major limitation is that this article made use of published articles only. This
may have made the review prone to bias, as interventions finding no effect
probably are not easily reported. Still, some nuance can be made. Although
sometimes controversial, the failsafe N statistics does provide a certain ground
to account for publication bias. The reported results are considered relatively
solid, given the large number of studies reporting no effect needed, to
generate an overall non effect.
Another limitation is the design used in (some of) the reported studies.
Chapter 2
51
Follow-up measurements are paramount when trying to assess long-lasting
(behavioral) changes. Without them, there is no way to know whether
interventions do add something substantial to the lives of participants or
whether they only scratch the surface. As such, this review is also a plea to
include at least one follow-up measurement in any design that intends to
evaluate an intervention with the potential for realizing long-lasting change.
The initial setup required including only RCTs. Therefore, most of the
control groups are waitlist controls or no treatment controls. Although
sometimes an alternative program was set up as a pastime, the current
evaluation cannot compare psychoeducation with other means of intervention
and conclude psychoeducation is to be preferred. We can only state that it is
more effective in reducing stress than undertaking no action at all.
Our recommendation concerning the information reported in articles is
especially interesting in light of moderator analyses. It would be considered a
big advantage for meta-analyses if these would move beyond reporting
standard information such as average age of participants and their gender and
also start including other characteristics that are not commonly reported, such
as group sizes. We are still unaware of what the exact factors are that
contribute to the effectiveness of psychoeducational interventions. Therefore,
as many intervention characteristics as possible should be taken into account
when setting up an intervention and these characteristics should subsequently
be documented in publications. In the long run these data will have the
potential to provide us with valuable information for adjusting and redirecting
future interventions.
Stress reduction through psychoeducation
52
53
Chapter 3
Effectiveness of a six session stress reduction
program for groups
Objectives. The goal of the present study was to determine the effectiveness of six-
week cognitive-behavioural stress reduction course for large groups (two hours per
week). Methods. Two groups (intervention group N=47; matched control group N=47)
completed self-report questionnaires on stress, depression, anxiety, worrying, and
stress management skills at pre- and post-intervention and at six months and one year
follow-up. Results. Linear declines for the intervention group were found for all
symptoms from pre-intervention to post-intervention and further on through follow-up
(linear trends ps < .05), whereas stress management skills remained stable. Clinically
significant and reliable change (in almost 30% of participants) confirmed these findings.
No such change was found for the control group. The strongest effect occurred for
those participants who presented themselves with higher levels of initial symptoms.
Conclusions. Overall, the data showed small but reliable and long-lasting effects on self-
reported stress, worrying and symptoms of depression and anxiety.
Keywords
stress reduction, psychoeducation, cognitive-behavioural, intervention, matched control
design
Effectiveness of a stress reduction program
54
1 Introduction
In 1984, Lazarus and Folkman (1984, p. 19) defined psychological stress as “... a
particular relationship between the person and the environment that is
appraised by the person as taxing or exceeding his or her resources and
endangering his or her well-being.“ Almost three decades later, chronic stress is
considered a major burden in modern society, compromising both physical and
mental health (American Psychological Association, 2010). High levels of self-
perceived stress are, for example, closely related to several adverse health
conditions like metabolic syndrome (Chandola, Brunner, & Marmot, 2006) and
coronary heart disease (Jood, Redfors, Rosengren, Blomstrand, & Jern, 2009;
Rosengren et al., 2004; Xu, Zhao, Guo, Guo, & Gao, 2009). There is also a clear
link between high levels of stress and the subsequent onset of mental disorders
such as depression (van Praag, 2004; Wang, 2004).
Considering the scope of the burden of stress, no health service will ever be
able to provide adequate treatment for all, even in more affluent countries
(van ‘t Veer-Tazelaar et al., 2009). This emphasizes the need for large scale
prevention, for example by reducing stress in the general population. In MHC,
prevention can be situated within a stepped-care approach. This represents an
attempt to maximize the efficiency of resource allocation in therapy: low
threshold and low cost interventions are offered first, and more intensive and
costly interventions are reserved for those who are not sufficiently helped by
the initial intervention (Haaga, 2000). A recent meta-analysis including a variety
of programs confirmed that the average participant of a stress reduction
program obtains a significant reduction of perceived stress. When long-term
changes are considered, however, results are less clear. The limited number of
studies that include follow-up for up to six months or less find mixed results
(Van Daele, Hermans, Van Audenhove, & Van den Bergh, 2012).
The current study therefore aims at consolidating the evidence base for
Chapter 3
55
stress reduction programs, both in the short and long term. In the present case,
we are interested in how the intervention performs in the real-life context of
communities, resembling common practice. This provides a more accurate view
of intervention effectiveness in everyday life. The intervention itself is a stress
reduction program, developed within the CBT tradition as an adaptation of a
program by White (2000) that was originally developed to reduce anxiety. It is
being offered to large groups of self-registering community dwellers. Since they
self-register, participants may have various initial complaints and motivations
constituting a heterogeneous group of participants with ‘typical’ elevated
stress symptoms, but also participants with low levels of stress whose main
interest is to learn more about stress and how it may affect them. Whereas
White’s course was more focused on curing participants with elevated
complaint levels, the current course has therefore more characteristics of a
selective preventive intervention.
The goal of the program is to reduce stress by altering the relationship
between the person and the environment. More specifically, stress reduction is
intended to occur through two main routes. One focuses on strengthening the
participants’ resources through developing social and self-management skills.
The other attempts to change cognitive representations through targeting
negative appraisals and unhelpful perseverative thinking, such as worrying and
ruminating which may mediate the relationship between stressors and
psychopathology (Brosschot, Gerin, & Thayer, 2006). Because the program
aims to initiate a learning process, the reduction of stress-related symptoms is
expected to occur gradually and to continue in the months following the
intervention.
Changes were assessed through self-report questionnaires. Stress scores
were considered as the primary outcome measure, depression and anxiety as
secondary outcome measures, and reduction in worrying and increase in stress
management skills as the means for stress reduction. We used a pre-post
Effectiveness of a stress reduction program
56
matched control design with two follow-up moments, one after six and one
after 12 months. Because participants needed time to process all the
information and practice the skills taught during the course, it was
hypothesised that in the months following the intervention, a steady, gradual
decline in worrying and a gradual increase in stress management skills would
be accompanied by a decline in stress and depression and anxiety. The
strongest effect is expected to occur for those participants who present
themselves with higher levels of initial symptoms.
2 Method
2.1 Recruitment and screening
In order to participate, respondents had to reside in one of three regions in
Flanders (Belgium). In each region, local organizations were contacted to help
distribute information leaflets through their own networks and communication
channels, including GPs, (sports) clubs, libraries and local press. Exclusion
criteria were defined and potential participants who met at least one of these
were informed that the current intervention might not completely suit their
needs and that additional professional help might be necessary. Subsequently,
they could decide to continue following the course or not, but they were
always advised to contact the local centre for ambulatory MHC. The centres
were informed about these potential contacts and agreed to give these
requests priority. If participants continued to follow the course, they were
removed from the study sample. The exclusion criteria were the answers on 1)
question 15 of the Web Screening Questionnaire (WSQ; Donker, van Straten,
Marks, Cuijpers, 2009) indicating suicidal tendencies (Answering ‘I would do it
given the opportunity’ on the question whether the idea of harming yourself or
taking your life, recently came into their mind), 2) the General Anxiety Disorder
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Questionnaire-7 (GAD-7; Spitzer Kroenke, Williams, & Lowe, 2003) showing
they suffered from a severe generalized anxiety disorder (15+ on a 21 point
scale), 3) three questions of the Alcohol Use Disorders Screening Test (AUDIT;
Saunders, Aasland, Babor, de la Puente, & Grant, 1993) pointing to problematic
substance abuse (which could lead to alcohol induced violence, endangering
fellow participants). During the course, participants could also be excluded if
the teacher-therapist noticed signs of psychotic disorders or severe deviant
behaviour.
To study long-term effects, the original goal was to randomly allocate
participants to a stress management course or to a one-year non-intervention
control group. This, however, raised practical and ethical concerns in local
partners endangering course implementation: local partners were reluctant to
advertise the study when half of the participants would be denied treatment
for twelve months or would receive some kind of placebo treatment. A
matching procedure was therefore used to collect control data instead of using
randomized non- or pseudo-intervention controls. In the matching procedure,
a large sample was recruited from the general population through local
newspapers, answering an advertisement to participate in a questionnaire
study concerning their general well-being. Subsequently, a selected number of
them were matched one-on-one to the course participants according to
predetermined criteria: stress scores, depression and anxiety, as well as age,
socioeconomic status and gender. Participants in this control group were not
aware of the intervention and had not expressed an explicit desire to
participate in the stress course. This design proved to be acceptable for local
partners. It was subsequently also approved by the ethics committee of the
Faculty of Psychology and Educational Studies of the KU Leuven. Controls
received € 10 per data collection wave for participating.
Effectiveness of a stress reduction program
58
2.2 Intervention
The intervention was an adaptation of a program called ‘Stress Control’
(White, 2000; adaptation by ISW-Limits, 2006). Teachers were trained
psychologists from local centres for ambulatory MHC. They led this course,
which comprised six weekly lessons of two hours during which participants
mostly listen and are not required to interact. In lesson 1, participants were
offered general information on stress; it served as a general course
introduction, followed by two homework assignments. For the first homework
assignment participants needed to evaluate their own stress level, reaction
patterns, and general well-being. This was followed by determining concrete
goals they wanted to reach during the time of the course. A second homework
assignment implied reading an overview of basic self-help tips and techniques
that could help them with short–term stress reduction, including distraction,
practicing sports, breathing exercises, and a proper diet. The goals of these
homework assignments were to familiarize participants with the course, to
help them apply the general information to their own personal situation, and
to create a personalized frame of reference for the course content. This
allowed course participants to select specific, relevant techniques presented in
the following lessons. During lesson 2 they focused on the effects of stress on
the body and controlling bodily sensations. After some theoretical background,
participants learned the techniques of progressive relaxation and breathing
exercises. Furthermore, the importance of active recreation was emphasized.
In lesson 3 cognitive techniques were demonstrated and participants focused
on becoming aware of fallacies and challenging dysfunctional thoughts. In
lesson 4 techniques were taught from problem-solving and participants learned
how to confront their fears, end safety behaviours, and increase their
assertiveness. In lesson 5 and the first part of lesson 6 the knowledge from
Lesson 1 and the techniques learned in the previous lessons were rehearsed.
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These were subsequently applied to problems of anxiety, panic, sleeping
disorders and feelings of depression, and tension and burn-out. In the second
part of lesson 6, guidance was provided on how to control future stress.
2.3 Measures
The Depression Anxiety Stress Scales-21 (DASS-21; Lovibond & Lovibond, 1995;
Dutch version by de Beurs, Van Dyck, Marquenie, Lange, & Blonk, 2001) is a 21-
item self-report questionnaire measuring stress (7 items, α = .89) in the past
week. Symptoms of depression (7 items, α = .94), and symptoms of anxiety (7
items, α = .91) are also considered as secondary outcome measures.
The Penn State Worry Questionnaire (PSWQ; Meyer, Miller, Metzger, &
Borkovec, 1990; Dutch version by van Rijsoort, Vervaeke, & Emmelkamp, 1997)
is a 16-item self-report questionnaire used to measure worrying on a five point
Likert scale ranging from 1 ‘Not at all typical for me’ to 5 ‘Very typical of me’.
The questionnaire has a high internal consistency both for normal (α = .90) and
clinical (α = .86) populations.
The Coping Strategies Indicator (CSI; Amirkhan, 1990, Dutch version by
Bijttebier & Vertommen, 1997) is a 33-item self-report questionnaire that
measures three coping styles: problem-solving (11 items, α = .87), social
support seeking (11 items, α = .90), and avoidance (11 items, α = .73). Because
the course supports problem-solving and social support seeking and tries to
diminish avoidance when faced with stress, this questionnaire is therefore
suited to evaluate the change in stress management skills. The questionnaire
uses a three point Likert scale (3 ‘a lot’, 2 ‘a little’, 1 ‘not at all’). The higher the
scores, the more commonly a strategy is used. High scores are therefore
considered positive for problem-solving and social support seeking, and
negative for avoidance.
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60
2.4 Course implementation
The intervention was implemented using a framework called empowerment
implementation. This strategy offers interventions room to be flexible to local
needs, while still maintaining adherence to strict implementation guidelines.
More details on the actual implementation and the underlying framework can
be found in Van Daele, Van Audenhove, Hermans, Van den Bergh, & Van den
Broucke, 2012.
2.5 Statistical analysis
All data were analyzed using SPSS (SPSS 16.0, IBM). Group by time interaction
was evaluated using a generalized linear model (GLM) and compared self-
reported symptoms and skills at each measurement point of the design.
Furthermore, when group by time interactions were at least marginally
significant (p < .10), group by trend-over-time interactions were also
conducted, testing for linear and quadratic trends in the time variable.
Reliable and clinically significant changes were used as secondary measures
for course effectiveness. According to Jacobson and Truax (1991), the optimal
way to determine clinically significant change is according to ‘criterion C’. This
method assumes that both the normal and the clinical population are normally
distributed. In order to achieve clinically significant change (CSC), symptoms
severity of participants should be closer to the mean score of the normal
population than to those of the clinical population. Therefore, a cut-off score is
determined. Because such a cut-off score is arbitrary and small changes may
also lead to a change from one side of the cut-off score to the other, reliable
change (RC) is used as an additional criterion. RC indicates that the change
reported is larger than expected by chance. Both types of change are
independent of one another, but the change aimed for is one that is both
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reliable and clinically significant. For this analysis, DASS stress scores were used
to determine treatment effects, because for this questionnaire Dutch
normative data were available both for the normal (M = 8.5, SD = 8.0) and
clinical population (M = 15.8, SD = 9.8; de Beurs, personal communication,
October 28, 2007).
3 Results
3.1 Participants
Questionnaires were administered pre-intervention, post-intervention, after six
months, and one year after course completion. A total of 77 participants
completed the first questionnaire. Two participants who had completed the
first questionnaire dropped out after the first session, one due to lack of
interest, the other due to unexpected surgery. Furthermore, based on the
exclusion criteria, one participant with a suicide risk was informed that the
intervention might not suit her needs and she was referred to a local centre for
ambulatory MHC. This participant nevertheless decided to continue following
the course, but was removed from the study sample. Overall, 75 participants
from three different locations (N = 28, N = 34 and N = 13) completed the
course, of which 47 participants (63% of the completers) filled in the
questionnaires at all four times. Their mean age was 44. 1 years (SD = 10.1,
range 21-63).
From a total of 158 controls that completed the questionnaire at pre-
intervention, 139 (88%) completed the questionnaires at all four times. From
these 139 controls, 47 were matched with the intervention participants within
one standard deviation on depressive, anxiety and stress scores, as well as for
age, socioeconomic status and gender. The mean age was 39.15 years (SD =
13.4, range 20-69). Other socio-demographics for both groups can be found in
Table 5.
Effectiveness of a stress reduction program
62
Table 5 Sociodemographics for intervention group (N = 47) and matched control
group (N = 47) in percent
3.2 Missing data
By the end of the study 28 (37%) of the 75 completers had not returned one or
more questionnaires and were therefore left out of the final analyses. These
non-responders were compared to responders on pre-intervention scores for
the DASS, PSWQ, and CSI. Only for stress management skills, a significant
difference was found with non-responders having higher problem-solving
scores, CSI-problem-solving: F(1,73) = 4.20, p = .04. Other measures did not
show a difference between both groups. Overall, these analyses showed little
difference between both groups, which makes the results outlined below
relevant for the group of participants as a whole.
3.3 Course effectiveness
An overview of the data for all measurements can be found in Table 6. The
analyses apply to all four repeated measures, which were done over the course
of one year.
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Tabel 6 Evolution of intervention group (N = 47) and matched control group
(N = 47)
3.3.1 Stress, depression and anxiety
When the group by time interaction was evaluated using GLM, no significant
effect on stress scores was found F(3, 276) = 2.07, p = .10. For the secondary
outcome measures, a significant effect was found for depressive symptoms,
F(3,276) = 2.72, p = .05, but not for anxiety, F(3,276) < 1. Additionally, the
group by trend-over-time interactions did show a clear trend for stress scores,
F(1,92) = 5.26, p = .02, with a linear decline in the intervention group F(1,46) =
7.60, p =.01, which was absent in the control group F(1,46) < 1. This was also
Effectiveness of a stress reduction program
64
the case for depressive symptoms, F(1,92) = 5.39, p = .02, with a linear decline
in the intervention group F(1,46) = 7.08, p = .01, whereas the control group
remained stable F(1,46) < 1. No such changes were found for anxiety, F(1,92) <
1.
Furthermore, the intervention group could be split into two: one group with
higher and one group with lower initial symptoms. For each measure, the split
value is determined as the value of the intersection point between the
distributions of the normal and clinical population (Figure 5). When low (N =
12) and high (N = 35) stressed participants were compared using GLM, there
was a strong group by time interaction, F(3, 135) = 4.24, p = .007. Similar results
were found for low (N = 22) and high (N = 25) depressed participants, F(3,135)
= 4.70, p = .004, and for low (N = 25) and high (N = 22) anxious individuals, F(3,
135) = 6.05, p = .001. Additional analyses on the group by trend-over-time
interaction showed clear linear trends for stress F(1, 45) = 9.61, p = .003,
depression, F(1. 45) = 11.39, p = .002, and anxiety, F(1, 45) = 6.76, p = .013, with
participants with high levels of initial symptoms showing a decline, whereas
patients with low initial levels remained stable or showed a limited increase.
3.3.2 Worrying
An analysis of the group by time interaction with GLM showed a strong effect
on worrying, F(3,276) = 5.60, p < .001. This was confirmed with an analysis on
the group by trend-over-time interaction, F(1,92) = 13.20, p < .001, which
showed a clear decline for the intervention group F(1,46) = 21.12, p < .001,
whereas the control group remained stable F(1,46) < 1.
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Figure 5. Comparison of DASS-scores between participants with a low- and
high-level baseline of complaints.
3.3.3 Stress management skills
When the group by time interaction was evaluated using GLM, a significant
effect was found for problem-solving, F(3,264) = 2.95, p = .03, in which scores
for the intervention group increased from pre to post followed by a limited
decline at follow-up whereas those of the control group remained relatively
stable. No such differences were found for social support, F(3,264) < 1, or
avoidance, F(3,264) = 2.26, p = .08. Analyses on the group by trend-over-time
interaction for stress management however, were not significant for problem
solving, F(1,88) < 1, social support seeking F(1,88) = 1.23, p = .27, nor for
avoidance, F(1,88) = 3.06, p = .08.
Effectiveness of a stress reduction program
66
3.4 Clinical significance
Clinical significance was evaluated using reliable and clinically significant
change. DASS-stress-scores were used to determine treatment effects. The cut-
off score for clinically significant change was determined at 11.7, which
indicated that anyone above this score was considered within the range of the
clinical population and anyone below this score was within the range of the
normal population. Furthermore, in order for a change to be considered
reliable – not attributable to chance – it had to be larger than 6.3. Initially, 85%
of all participants reported stress symptoms within the range of the clinical
population. At post intervention, 13% of these participants showed both a
reliable and clinically significant change. After six months this number had
increased to 23% and by the one year follow-up, 28% of the participants had
undergone a reliable and clinically significant change. Because clinically
significant change implied that participants had to be within the range of the
clinical population, it is not surprising that 92% of the participants that
underwent a clinically significant and reliable change were part of the group
with higher initial symptoms mentioned earlier.
4 Discussion
This study aimed to investigate whether a six-week CBT stress reduction course
for groups was effective in the long term in reducing stress and depression and
anxiety, in decreasing worrying, and in increasing stress management skills. The
results of the trend analyses indicated a linear decline of stress and depression
in the intervention group from pre-intervention to post-intervention and
further on through follow-up. These effects were not observed in the non-
intervention group. There was also a strong linear decline in worrying, but only
little change in stress management skills. Furthermore, measures of clinical
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significance showed that almost 30 percent of all course participants
experienced a clinically significant and reliable change in the year following the
course. Finally, the strongest effect occurred for those participants who
presented themselves with higher levels of initial symptoms.
The overall modest mean effects seem to be due to the high amount of
variation on all measures between participants. Evidence for this explanation
can be found in the comparison of stress, anxiety and depression between
participants with low and high initial symptoms, in which participants with high
initial levels show a much stronger continuous and gradual decline of
symptoms, whereas participants with low initial symptoms remained stable.
This is in line with other stress management programs that intend to realize
long-term changes and which find effects up to four years after the
intervention (Rowe, 2000, 2006). The course therefore appears to initiate a
long-term process characterized by gradual declines in self-reported symptoms.
However, these declines were not strong enough to find significant effects for
all symptoms at all times using a GLM.
There was nevertheless a strong decline in worrying, one of the two
mechanisms targeted by the intervention. The other mechanism focused on
the improvement in stress management techniques of participants, which
showed little difference. The absence of an effect could be because the CSI
might not be that well suited as a questionnaire to measure general changes in
stress management skills. Since participants were asked to report how they
managed a specific problem they encountered in the month preceding the time
of completing the questionnaire, it might be that stress management in highly
specific situations was reported, as opposed to the more general stress
management skills that were intended. An alternative explanation is that the
primary focus of the intervention was on psychoeducation and less on the
actual skill training: participants were expected to practice at home in real life
situations. Since this was not a controlled environment, feedback could not be
Effectiveness of a stress reduction program
68
delivered immediately and teachers had little control over whether course
participants actively used the acquired stress management techniques in their
home situations. This would imply that it might be the reduction in worrying
that is primarily responsible for the decline in symptoms. Because the current
design does not allow making causal inferences, a focus for future research
would therefore be to determine the mechanisms through which the symptom
reduction is accomplished and potentially improve the skill training component
in order to make it (more) effective.
Finally, the present study did not make use of random allocation of
participants, because looking into the long-term effectiveness of the
intervention would have required withholding (wait list) control participants
from following the course for over a year, which was not acceptable for the
organizations promoting the course locally. In addition, random allocation to an
intervention or control group is difficult for any study planning to do a long-
term follow-up. A matched control design therefore turned out to be the most
practical and ethical solution. While in an RCT initial conditions in both groups
are equalized, including the motivation to participate in a course, the latter
aspect was not present in our control group. Neither did they receive some
kind of bogus or placebo treatment. However, we used a matched control
design in which we tried to control for a wide range of variables related to
participant’s initial level of symptoms, as well as their socio-demographics.
Balancing both the need for long term follow-up and randomized allocation of
participants to non-intervention conditions may prove to be a difficult task.
Overall, the main conclusion of this study is that there are substantial
indications that the intervention has long-term effects on participants’ stress,
anxiety and depression, especially for those who have higher initial symptoms
and as far as up to one year after the intervention. It furthermore also shows
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that the effectiveness of ‘interventions in the field’ that focus on self-
registering community dwellers should be interpreted carefully. The
heterogeneous groups they attract might not only include people who
participate in order to obtain an immediate reduction of high symptoms, but
also those who have low level symptoms and follow the course in order to
prevent future symptoms. Especially the latter group could be responsible for
an underestimation of intervention effectiveness if they are not specifically
taken into consideration, as this might cause floor effects.
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71
Research topic 2
Implementation
Van Daele, T., Van Audenhove, C., Hermans, D., Van den Bergh, O., & Van den Broucke,
S. (2012). Empowerment implementation: Enhancing fidelity and adaptation in a
psychoeducational intervention. Health Promotion International. Advance online
publication. doi: 10.1093/heapro/das070
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Chapter 4
Empowerment implementation: enhancing fidelity
and adaptation in a psychoeducational intervention
Implementation is an emerging research topic in the fieldof health promotion. Most of
the implementation research adheres to one of two paradigms: implementing
interventions with maximum fidelity or designing interventions that are responsive to
the needs of a local community. While fidelity and adaptation are often considered as
contradictory, they are both essential elements of preventive interventions. An
innovative program design strategy is therefore to develop hybrid programs that ‘build
in’ adaptation to enhance program fit, while also maximizing the implementation
fidelity.
The present article presents guidelines for this hybrid approach to program
implementation and illustrates them with a concrete psychoeducational group
intervention. The approach, which is referred to as ‘empowerment implementation’ on
the analogy of empowerment evaluation, builds on theory of implementation fidelity
and community-based participatory research. To demonstrate the use of these
guidelines, a psychoeducational course aimed at stress reduction and the prevention of
depression and anxiety was implemented according to these guidelines. The main focus
lies on how an intervention can benefit from adaptations guided by local expertise,
while maintaining the core program components and still respecting the
implementation fidelity.
Keywords
implementation science, effectiveness, empowerment, mental health promotion
Empowerment implementation
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1 Introduction
Implementation is an emerging research topic in the field of public health. This
growing interest reflects a changing view on what counts as evidence. For a
long time, ‘evidence’ was a synonym for empirical data supporting either the
scale or cause of a health problem, or the causal relations between
interventions and outcomes. For both kinds, the level of evidence provided is a
key quality feature, with an RCT traditionally regarded as the ‘golden’ – but
often unachievable – standard for evaluation. However, over the last decade it
has become clear that public health needs other types of research evidence as
well (Aro et al., 2005; Rychetnik et al., 2002). It is not sufficient to know the
magnitude, severity and causes of public health problems and the relative
effectiveness of specific interventions to inform public health policy and
practice. It is also necessary to know how a specific intervention should be
implemented and under which circumstances it can be successful. Accordingly,
Rychetnik et al. (2004) distinguish between three types of evidence in public
health: evidence pointing to the fact that ‘something should be done’, to
determine ‘what should be done’ and informing on ‘how it should be done’.
The attention for the latter kind of evidence has given rise to a research
investigating the quality and the processes of implementation (Breitenstein et
al., 2010; Glasgow, Lichtenstein & Marcus, 2003; Palinkas et al., 2011; Rabin et
al., 2010). Although there is no consensus with regard to the conceptual and
methodological frameworks to be used to study implementation, various
strategies have been proposed to enhance the quality of implementation.
These strategies often draw upon the literature on the diffusion of innovation
from the 1970s and 1980s (Dusenbury, Brannigan, Falco, &, Hansen, 2003). The
most influential strategy is to maximize the fidelity of intervention delivery
(Dumas, Lynch, Laughlin, Smith, & Prinz, 2001). The concept of implementation
fidelity refers to ‘the degree to which an intervention or program is delivered as
intended’ (Carroll et al., 2007). Specifically, a successful implementation is one
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that abides with four components of fidelity: adherence, exposure, quality of
program delivery and participant responsiveness (Dane and Schneider, 1998).
Mihalic (2002) describes each of these components as follows: 1) ‘adherence’
refers to whether interventions are delivered as intended; 2) ‘exposure’ refers
to the number of sessions implemented, session length, frequency of
implementation of program techniques; 3) ‘quality of program delivery’ refers
to the manner in which staff deliver a program; and 4) ‘participant
responsiveness’ refers to the extent to which participants are involved in
program content. Hasson (2010) has suggested two additional factors that
moderate implementation fidelity, notably ‘recruitment’ and ‘context’. The
concept of 5) ‘recruitment’ refers to procedures that are used to attract
potential program participants, whereas 6) ‘context’ refers to surrounding
social systems, such as structures and cultures of groups, inter-organizational
linkages and historical as well as concurrent events. All these factors should be
evaluated when conducting a process evaluation.
Multiple methodologies have already been developed to measure the
implementation fidelity (Blakely et al., 1987). Their main goal is to identify the
factors that lead to (the lack of) intervention success. In addition, they also
focus on the mechanism and processes that must be taken into consideration
when implementing complex interventions (Breitenstein et al., 2010; Campbell
et al., 2000; Oakley et al., 2004; Toroyan et al., 2004). Several attempts have
also been made to increase the implementation fidelity (Basen-Engquist et al.,
1994; Burns, Peters, & Noell, 2008; Macaulay, Gronewold, Griffin, Williams, &
Samuolis, 2005; Vitale & Romance, 2005).
On the other hand, focusing on fidelity has also been criticized for being
rigid, as it assumes full compliance with the program as prescribed by the
program developer (Gresham et al., 1993). The fact that any change to the
program made by implementers is considered as bias and as a threat to
implementation quality is at odds with the value placed on stakeholder
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76
involvement and participation in health promotion (WHO, 1986; Levy, Baldyga,
& Jurkowski, 2003). An alternative approach to program implementation is
therefore to encourage adaptation, rather than limit it. Drawing on the
principles of community-based health promotion—which emphasizes the
participation of the community in program planning, implementation,
evaluation and dissemination—the program adoption approach holds that
users or local adopters should be allowed to reinvent or change programs to
meet their own needs and derive a sense of ownership.
The tension between the fidelity and adaptation approach is a recurrent
theme in the implementation literature (Blakely et al., 1987; Dusenbury et al.,
2003). Berman (1981) proposed a contingency model of implementation, in
which choosing between the strategies of fidelity and adaptation should
depend on the nature of the intervention. The fidelity approach would be most
suited for highly structured interventions, whereas the adaptation approach
would work better in less structured interventions. Yet, the dominant view
remains that both approaches have competing objectives: implementing
interventions with maximum fidelity, versus designing interventions that are
responsive to the cultural needs of a local community. However, these two
objectives are not necessarily contradictory (Castro et al., 2004; Weissberg,
1990). In fact, fidelity and adaptation are both essential elements of preventive
interventions. Moreover, both of them are best addressed by a planned,
organized and structured approach (Shen, Yang, Cao, & Warfield, 2008).
An interesting attempt to unite both approaches has been proposed by
Backer (2001). Based on a literature review, this author formulated six
recommendations for implementers. For a successful intervention
implementation one should 1) identify and understand the theory behind the
program; 2) locate or conduct a core components analysis of the program; 3)
assess fidelity/adaptation concerns for the implementation site; 4) consult with
the program developer; 5) consult with the organization and/or community in
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which the implementation will take place; and 6) develop an overall
implementation plan based on these inputs. Adding to this discourse, Castro et
al. (2004) suggest that an innovative program design strategy would be to
develop hybrid programs that ‘build in’ adaptation to enhance program fit,
while also maximizing the fidelity of implementation and program
effectiveness. Unfortunately, however, the authors do not provide any
guidelines as to how exactly such programs should be developed and validated,
only stating that it would require 'rigorous science-based evaluation and
testing’. The basis for such guidelines may, however, be found in similar,
related theoretical frameworks like empowerment evaluation.
Empowerment evaluation is grounded in empowerment theory
(Zimmerman, 1995). Empowerment can be defined as “... an intentional,
ongoing process through which people lacking an equal share of valued
resources gain greater access to and control over those resources”. It can exist
at community, organizational and individual level and can be viewed both as a
process and as an outcome, reflecting the achieved level of empowerment.
This process offers individuals the opportunity to gain control over their lives
and over democratic participation in the life of their community (Berger &
Neuhaus, 1977, cited in Zimmerman & Rappaport, 1988). Zimmerman’s view of
an empowerment approach to intervention design, implementation and
evaluation redefines the professional’s role as that of a collaborator and
facilitator, rather than an expert and counselor (Zimmerman, 2000). Fetterman
(1996) applied these principles to the evaluation of interventions, referring to
this as the empowerment evaluation. It is defined as “... an evaluation
approach that aims to increase the probability of achieving program success by
providing program stakeholders with tools for assessing the planning,
implementation and selfevaluation of their program, and mainstreaming
evaluation as a part of the planning and management of the program”
(Wandersman et al., 2005, p. 28). In this sense, empowerment evaluation is
Empowerment implementation
78
closely linked to capacity building. According to Fetterman, building the
capacities of others to evaluate their own programs involves several steps: 1)
determining where the program stands, including strengths and weaknesses; 2)
focusing on establishing goals with an explicit emphasis on program
improvement; 3) helping participants determine their own strategies to
accomplish program goals and objectives; and 4) helping program participants
determine the type of evidence required to document progress credibly toward
their goals.
The present article aims to extend these guidelines to program
implementation. In the next section, this theoretical framework will be
introduced, followed by the presentation of the guidelines. Finally, a
psychoeducational course aimed at reducing stress and at preventing
depression and anxiety will serve as an example of how these guidelines can be
put into practice.
2 Empowerment implementation
While empowerment evaluation is mainly concerned with the evaluation of a
program, the same principles can also be applied to implementation. Such an
‘empowerment implementation’ could well reconcile the opposing fidelity and
adaptation approaches to implementation. Indeed, involving the community in
program implementation as an equal partner does not have to be at the cost of
fidelity. It only requires providing the community with the concepts, tools and
skills to identify the core components of the intervention, to adapt the
intervention to their context and culture, and to assess, monitor and maintain
the implementation quality.
The steps of an empowerment implementation approach would be as
follows: 1) developing a core component; 2) selecting partners; 3) assessing the
fidelity/adaptation concerns with partners; and 4) developing an overall
implementation plan. The way in which these steps are executed is inspired by
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community-based participatory research (CBPR), a collaborative approach to
research, involving all partners equitably in the research process, recognizing
the unique strengths that each brings (Minkler & Wallerstein, 2003, p. 4;
Minkler, Vásquez, Warner, Stuessey, & Facente, 2006) and empowerment
evaluation. The content of each step is defined by the key elements of high
fidelity implementation, and by research concerning the balancing of program
fidelity and adaptation. The consecutive steps will now be explained in detail.
2.1 Developing a core component
Prior to implementation, an intervention program is developed based on a
sound theoretical framework. One example is Intervention Mapping (IM), a tool
for the planning and development of health promotion interventions. It maps
the path from the recognition of a need or problem to the identification of a
solution (Kok, Schaalma, Ruiter, & Van Empelen, 2004). The first four steps of
IM could be run through as follows: 1) needs assessment; 2) preparing matrices
of change objectives; 3) selecting theory-informed intervention methods and
practical strategies; and 4) producing program components and materials. The
resulting intervention is tested in a controlled setting and empirically adapted
until researchers end up with an effective intervention. Subsequently,
researchers empirically) define which aspects of the intervention are especially
important for its efficacy and label these as the core components of the
intervention.
2.2 Selecting partners who will implement the intervention
Implementing an intervention requires the participation of partners in the field
in order to guarantee its success. Given that the main goal is to adapt a
previously developed intervention to the unique conditions of the real-life
context in which it is implemented, the notion of participation in this context
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does not refer to the involvement of the end users, but to that of the
implementers. In terms of Fetterman’s (1996) framework, implementers can
indeed be considered as primary stakeholders, whose role is not that of an
expert or professional, but of a facilitator and enabler (Laverack & Wallerstein,
2001). As such, the focus of the participation of this study is more placed on the
participation of the active ‘can affect’-stakeholders than of the ‘affected’
parties (Freeman, 1984, cited in Achterkamp & Vos, 2008). These partners
preferably dispose of existing networks related to the intervention topic. For
example, an interesting partner for interventions related to cancer in the USA
would be the Cancer Information Service, a network of health education offices
(Glasgow, Marcus, Bull, and Wilson, 2004). However, if potential partners
show limited interest in the program, their participation is of little use. Even if
they can be persuaded to implement the program, they will be unlikely to
strive for quality, and this will probably lead to poor results, i.e. inadequate
implementation, weak fidelity and limited evidence-based actions ... In order to
avoid this, it is important to carefully select the partners who will implement
the intervention. A first step is therefore to make an overview of local partners
who are available. Subsequently, these potential partners must be consulted to
ascertain if they are interested to participate and whether they subscribe to
the scientific basis of the intervention to be implemented. The most suitable
partners for the intervention can then be selected through an evaluation of
their strengths and weaknesses in the function of the intervention.
2.3 Assessing the fidelity/adaptation concerns with partners
The next step is to assess the concerns with regard to fidelity and adaptation
together with the partners. This implies two aspects.
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2.3.1 Deciding on practical intervention aspects
To implement an intervention, a large number of practical aspects need to be
taken into consideration. Although not all of these are crucial for the
intervention to be effective, they play a large role in how the intervention can
be perceived and received by the target population. Aspects that are not
included in the core components of the program as defined in step 1 should
therefore certainly be open for discussion, as they can have a significant impact
on intervention dissemination. In the discussion about these non-core
components, local partners should take the lead, as they know the situation
and the target population best. Researchers should acknowledge their
expertise, but remain available as resource persons. Together, researchers and
implementers can tailor the intervention to suit present needs. Examples of
more ‘practical’ aspects that – depending on the particular program and
situation – might be open to discussion are: the recruitment of participants, the
intervention location and context, the number/length/frequency of sessions …
2.3.2 Deciding on content-related intervention aspects
It is very important that partner participation is not limited to practical aspects
only and that partners are also offered the possibility to give advice on content,
as the impetus for partners wanting to participate depends on the
opportunities that are presented by a project (van der Velde, Williamson, &
Ogilvie, 2009). In this regard, researchers and local partners are considered as
equal, each with their unique expertise. Both often have a substantial
theoretical background, experience and personal affinity for the intervention,
although these may vary in amount and in specific content. For intervention
implementation, researchers can mainly rely on their theoretical background,
whereas local partners most of the time have a better understanding of the
specific implementation setting. Letting local partners change content may be a
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sensitive matter for researchers, but if this is done through an open and
respectful dialogue, the intervention can benefit greatly from this collaborative
action.
The starting point should be that local partners have the possibility to
change everything of the intervention, as long as the core components remain
untouched. Examples of more ‘content-related’ aspects are participant
responsiveness, means of program delivery, cultural sensitivities or
preference ... Only some examples of aspects that are open to change were
highlighted above. This list is therefore not exhaustive: there may be additional
aspects to be taken into account, depending on the target group or context of
the intervention. These can easily be chosen in collaboration between
researchers and partners.
2.4 Developing an overall implementation plan
To ensure a successful implementation of the intervention, it is necessary to
develop an implementation plan. This plan should specify the role of all
partners involved and provide a clear timeline with an overview of what actions
need to be undertaken when. One way to assure such quality management and
avoid unintended effects at the phase of intervention realization is for
researchers to actively monitor intervention implementation by the partners in
the field, document potential deviations and subsequently go through these
together with them to avoid future mistakes at later stages of the
implementation process. Given the commensurability between efficacy and
effectiveness (Stricker, 2000), this framework increases the chances for an
effective intervention when implemented in practice. Furthermore, it helps to
avoid certain problems that are common to CBPR, such as the lack of skills in
research methods of community members, differences in the appraisal of
intervention criteria between the community and funding agencies, and
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shifting levels of community involvement throughout the research process
(Levy, Baldyga, & Jurkowski, 2003; Wallerstein & Duran, 2006).
In the following sections, empowerment implementation will be illustrated
by describing the implementation process of a psychoeducational group
intervention aimed at reducing stress and preventing depression and anxiety.
This will show how each step of empowerment implementation can be put into
practice. First, the context is described, followed by the method and the
intervention. These descriptions are followed by an overview of the
implementation process. During this overview, attention is directed to specific
points of interest to illustrate main aspects of the framework.
3 Example: implementation of a psychoeducational group
intervention
3.1 Context
The project on the implementation of a psychoeducational group intervention
was commissioned by the Flemish government in 2007 to the Policy Research
Centre Welfare Health and Family (SWVG), a consortium of Flemish research
and expertise centers on health and well-being whose task is to support the
Flemish minister in pursuing an effective evidence-based policy. Its aim was to
determine whether a psychoeducational group intervention to reduce stress
and prevent depression could support the organizations in primary MHC to
reduce the growing burden of mental health problems. The primary MHC
sector in Flanders consists of a large number of organizations, each with their
own goals and ways of working. Because of this diversity, a concern of the
Flemish government was not only to evaluate the effectiveness of the
intervention, but also whether such a course could be organized through ad
hoc partnerships. The feasibility of such an implementation would offer
perspectives for large-scale implementations in the future. Local organizations
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would be at liberty to select partners they consider most appropriate in order
to achieve their (mutual) goals.
Three Flemish cities and their communities were selected as intervention
sites: one larger (Antwerp) and two smaller ones (Ypres, Genk). All
organizations participated voluntarily and by means of their own funding.
Although there were some differences between regions, key partners were
provinces, local organizations for health consultation (LOGO), local
governments and local centres for ambulatory mental healthcare (CGG). The
location for the course was either provided by the provinces or by the local
governments. Teachers were psychologists from local centres for ambulatory
mental healthcare. Although all partners were involved in course promotion,
the local organizations for health consultation had the most suitable and
extended network at their disposal to promote the intervention and took the
lead by, e.g. distributing the majority of flyers.
3.2 Method
Questionnaires were administered to the participants before and after the
intervention. These included socio-demographic variables, depression, anxiety
and stress scores (DASS-42; Lovibond & Lovibond, 1995; Dutch version by de
Beurs, Van Dyck, Marquenie, Lange, & Blonk, 2001) and course evaluation at
the level of participant reactions (Kirkpatrick, 1975, Dutch version by Baert,
De Witte, & Sterck, 2001). This course evaluation was also used as a semi
structured interview conducted with the course teachers after course
completion.
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3.3 Intervention
3.3.1 Background
The psychoeducational course used for the intervention is a Flemish adaptation
of a Scottish program called ‘Stress Control’. It was first described by White
(White, 2000, p. 57) as “... a six-session didactic cognitive behavioural ‘evening
class’. It aims to: [1] teach students about anxiety and associated problem s-
depression, panic and insomnia; [2] teach self-assessment skills to allow
individuals to learn how these problems affect them [3] teach a range of
techniques designed to enable individuals to tailor their own treatment with
minimal therapist contact” and has been developed within the CBT approach
close to Beck (1981) and Meichenbaum (1985). The Flemish version is not an
exact replica of the original course. The goal of the Flemish version is more to
preserve mental health than to restore it. Therefore, it focuses primarily on the
phenomenon of stress than on anxiety. Since 2003 this intervention is being
offered to the Flemish population, primarily by one of the major public health
insurance companies. After paying an entry fee, both their members and non-
members have the ability to attend the course.
3.3.2 Core component
The core component of the intervention is the course material containing a
relaxation CD and various booklets. Each of the six weekly lessons has its own
separate booklet with all (and even more) of the information presented during
the evening course. One additional booklet contains all homework
assignments. Teachers received course material from SWVG and were
instructed to distribute this to course participants in their original format,
without any changes.
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3.4 Implementation
3.4.1 Developing a core component
In this particular case, the stress control course was developed within a CBT
approach, tested in a setting with college students, and found efficacious in this
controlled environment. For the subsequent larger intervention with multiple
partners in different regions, the course material was defined as the core
component of the intervention which had to guarantee a qualitative
intervention.
3.4.2 Selecting partners who will implement the intervention
The psychoeducational course was implemented in three Flemish regions,
selected from the regions in which the Policy Research Centre Welfare Health
and Family is active (KU Leuven, UGent, VUG, & KHK, 2007). To assure an
optimal reception of the intervention by all partners, concept mapping was
used. This research method is based on Gray’s (1989) collaboration model. A
selection of potential partners for each region was brought together in focus
groups. Through prioritizing their goals and interests, the three regions that
were most suited for the implementation of this intervention were determined.
The partners in these regions showed positive attitudes toward
psychoeducation and prevention. For each region, researchers and partners
together determined the strengths and weaknesses of all involved. After this
evaluation, four main tasks were determined and distributed among each
other: 1) organizing administration and data collection; 2) providing the
teacher; 3) providing the location; and 4) promoting the intervention. One
example of the strengths and weaknesses analysis is that in each region it was
agreed upon by all involved that the centres for ambulatory mental healthcare
were best placed to provide teachers for the course. Researchers, partners and
the centres themselves did not consider it wise to also involve them in
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promoting the intervention, though. Because of the stigma that is often still
associated with MHC (providers) in Flanders (Reynders, Scheerder,
Molenberghs, & Van Audenhove, 2011), it was decided to look for alternative
channels.
3.4.3 Assessing the fidelity/adaptation concerns with partners
In each of the three regions researchers and partners gathered to address both
practical and content-related intervention aspects. The researchers already had
suggestions for different aspects that were open for discussion, but some also
emerged during the meetings. Partners were hereby considered as the experts,
the researchers only took the role of facilitators to moderate discussions
between them. The goal was hereby not to create homogeneous
implementation conditions across regions, but rather to determine and adapt
specific and relevant aspects for each region. Because the three regions each
had their unique context, this resulted – as expected – in some level of
heterogeneity across regions.
3.4.4 Deciding on practical intervention aspects
These aspects were 1) the time of course commencement. The course was set
up as an evening course, but partners decided themselves which day and at
which exact time they preferred the course to start, taking into account the
habits and possibilities of the target population in their region. All regions
opted for Tuesday, with the time of commencement at 6 p.m., 7 p.m. and 8
p.m. 2) The course location. Both researchers and partners quickly agreed that
the location should be neutral, not providing a threshold for people with any
specific background to participate. Governmental buildings (respectively, a
cultural centre, a lecture hall and even a city hall) were chosen as the most
suitable locations. 3) Which channels would be used to promote the course and
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by which means. In each region, partners had specific ideas and opportunities
to promote the course: distributing flyers in public locations like libraries and to
their personnel, posting advertisements on their websites, publishing
announcements in official city papers, contacting specific organizations which
aim at the target population, and setting up meetings between the researchers
and local stakeholders. 4) Which of their staff members would be most suited
to teach the course. The researchers left this completely open to the partners.
They all chose psychologists with considerable professional experience, both on
psychopathology and in teaching (psychoeducational) courses. Finally, 5)
manner of distribution of the course material. The course material could be
distributed to the participants in parts, one for each lesson, or given as a whole
at the commencement of the course. For didactic purposes, two regions
decided to distribute the course material in parts, whereas in one region the
course material was distributed as a whole, mainly for practical concerns.
3.4.5 Deciding on content-related intervention aspects
To support teachers during the course, default PowerPoint presentations were
made available by the researchers. However, if preferred; 1) teachers could
change the presentations to suit their own needs and the particular condition.
Other content-related aspects also apply to teachers, since they could exert
most influence on the intervention content; 2) they could decide whether they
wanted to read the relaxation exercise aloud themselves or play it from the CD;
3) they had the possibility to introduce interaction in the course, provided they
felt like the course participants needed this; and finally 4) they could also add
their own additional examples during the course in order to make them more
relevant for the group.
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3.4.6 Developing an overall implementation plan
Together with partners, researchers wrote down all arrangements, decisions
and agreements in an overall implementation plan. The researchers took the
final responsibility and assured in each region and for each lesson that
everything was implemented as decided upon. If – for one reason or another –
there were deviations from the original plan, these were carefully documented
and subsequently communicated to the partners. When the course would be
evaluated, these could then be taken into consideration.
3.4.7 Actual implementation
The course was subsequently implemented in the three regions, for two groups
of 34 and one group of 18 participants. The total number of participants was
not that high, but partners indicated that it was still larger than when they set
up similar courses in the past.
The average age of participants was 43.0 years (SD = 10.3) and the majority
was currently employed (85%). Close to 80% of participants were women,
which is a high number, but not uncommon for this type of intervention (Van
Daele, Hermans, Van Audenhove, & Van den Bergh, 2012). Participants’
depression, anxiety and stress measures were high, approaching the clinical
threshold (normative data provided by E. de Beurs, personal communication,
28 October 2007).
In general, both course participants and course trainers were pleased with
the outcome. In a written questionnaire, 70% of course participants agreed
that the course was useful and a total of 91% of participants indicated they
would recommend the course to a friend. The three trainers were interviewed
and were also favourable to the intervention. Based on their experiences, they
did have some remarks, both concerning practical aspects and content. All
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these remarks were discussed during the interview, carefully written down and
will certainly be taken into consideration for future implementations.
4 Discussion
In this paper, we have introduced a framework to program implementation
which reconciles the competing paradigms of maximizing implementation
fidelity versus adapting programs to the needs of the local stakeholders.
Starting from the premise that fidelity and adaptation are both essential
elements of implementation ideally addressed in a planned, organized and
structured way, we have proposed a four-step framework to implement
prevention programs, balancing program fidelity with adaptation. The
framework is based on CBPR and on empowerment evaluation, which we have
extended to program implementation.
This ‘empowerment implementation’ was illustrated by applying the
framework to the implementation of a psychoeducational Group intervention
in Flanders. The example showed that empowerment implementation offers
the possibility of implementing the core components of an intervention with
high fidelity, while allowing for the adaptation of the intervention to local
needs, thus enhancing ownership by local stakeholders. It was seen that local
partners not only prefer this flexibility, but consider it as necessary for any
intervention which they are offered or required to implement. Whereas
previously the adaptations made by local stakeholders to existing ‘standard’
intervention programs were mostly considered as ‘flaws’ in the implementation
process, empowerment implementation provides an opportunity to redefine
these adaptations as useful additions with a high ecological validity and
relevance, which do not interfere with the core elements of the intervention.
The aim of the psychoeducational course was to strengthen the resilience of
participants to deal with daily stressors, and to empower them to take charge
of their own mental health. Whether or not this aim was achieved was not
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addressed in this study. However, what this study did show is that the
participatory approach to implementation that was followed for this program
led to a better understanding of the intervention, its goals and its core
elements by the local health workers who implemented it, and stimulated
them to develop, adapt and implement future interventions. As such, the
effects may extend beyond the stated outcomes of the program, despite the
fact that it was essentially conceived as a top-down intervention. In that way,
the approach can be considered as truly empowering.
The fact that empowerment implementation is characterized by a high level
of collaboration, mutual respect and program flexibility does not mean that
anything goes. It remains important for researchers and stakeholders to control
the outcome to assure that the intervention is implemented according to plan,
maybe even more compared with ‘traditional’ frameworks for implementation.
The main difference is that implementation fidelity is not determined by the
strict implementation of the entire intervention, but of its core components.
Deviating from the original intervention is allowed, even required and
stimulated, as long as the core components remain untouched.
Such an implementation is ideally followed by empowerment evaluation. In
the current study this was not possible, because clear research objectives were
already formulated by policy makers prior to the start of the project. However,
even in that situation it remains important to involve partners in the evaluation
process. Taking time to consider the strengths and weaknesses of the actual
implementation in comparison with the ideal scenario can serve as leverage for
improvement. It also creates a strong intrinsic motivation for change among
the partners and may offer opportunities for further collaboration.
5 Conclusion
Empowerment implementation provides a new look at the concept of
implementation fidelity and intervention effectiveness. In this framework an
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intervention consists of two parts: a core component and less important
intervention aspects. The core component is proved effective in clinical trials
and remains untouched throughout the implementation process. Less
important intervention aspects are decided upon through an intensive
collaboration between researchers and local partners. The framework
therefore consists of three main phases: partner selection, deciding upon
practical aspects and deciding upon content-related aspects. As such, it
addresses and overcomes the apparent contradiction between implementation
fidelity and adaptation.
Current research concerning implementation fidelity often considers
partner input and variability as bias. The strength of the current framework is
that it offers the possibility to take this disadvantage and turn it into an
advantage. All those who are involved in the program benefit from increased
stakeholder participation: researchers can evaluate an intervention
implementation in more realistic circumstances, whereas local partners have
the ability to control and to adapt an intervention (as much as possible) to their
needs, to enhance their ownership of the intervention, and to increase their
capacities to develop, adapt and implement interventions in the future.
93
Research topic 3
Prediction
Van Daele, T., Van den Bergh, O., Van Audenhove, C., Raes, F., & Hermans, D. (2013).
Reduced Memory Specificity Predicts the Acquisition of Problem Solving Skills in
Psychoeducation. Journal of Behavior Therapy and Experimental Psychiatry, 44, 135-
140. doi: 10.1016/j.jbtep.2011.12.005
Van Daele, T., Griffith, J., Van den Bergh, O., Hermans, D. (2013). Overgeneral
autobiographical memory predicts changes in depression and anxiety in a community
sample. Manuscript submitted for publication
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Chapter 5
Reduced memory specificity predicts the acquisition
of problem solving skills in psychoeducation
Background and objectives. Research has shown that overgeneral autobiographical
memory (OGM) is a valid predictor for the course of depression. It is not known,
however, whether OGM also moderates information uptake and consolidation in a
psychoeducation program to prevent stress, anxiety and depression. The present study
was designed to investigate whether the Autobiographical Memory Test (AMT;
Williams, & Broadbent, 1986) is a valid predictor for the actual unfolding of skills
learned through psychoeducation. Methods. The questionnaire included primarily the
AMT and the Stress Anxiety Depression Means-Ends Problem Solving Questionnaire
(SAD-MEPS). It was filled in prior to and after the psychoeducational course by 23
participants. Results. Correlations were calculated for the AMT at baseline and the
differences between the pre and post measurements on the SAD-MEPS. Significant
correlations were observed between the number of specific responses and the changes
in the number of relevant means (r = .49, p < .01). Limitations. The sample size was
rather small, but several checks were able to reduce the chance of spurious findings.
Conclusions: These findings may have important implications for the guidance to and
the setup of psychoeducational interventions. Suggestions include screening and
memory specificity training prior to course commencement.
Keywords
autobiographical memory, psychoeducation, prevention, depression
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1 Introduction
In the past twenty years a large amount of research has focused on the
predictive validity of overgeneral autobiographic memory (OGM) for the course
of depression. OGM is the difficulty to recall specific memories from one’s past
life. Instead of reporting memories that refer to a specific context and last less
than a day, overgeneral memories are reported. These last longer than a day or
are recurring events (Gibbs & Rude, 2004). Within the population, there is
some variance in the level of specificity between individuals, but people who
suffer from depression or posttraumatic stress disorder (PTSD) generally have a
less specific autobiographic memory (Harvey, Bryant, & Dang, 1998; Williams et
al., 2007). Reduced memory specificity has been found to be a predictor for a
worse course of depressive and trauma-related anxiety disorders. An early
study by Brittlebank, Scott, Williams, and Ferrier (1993) with patients meeting
the criteria of major depressive disorder (MDD) reported that overgenerality
was highly correlated with failure to recover from depression (also see: Raes et
al., 2006). Gibbs and Rude (2004) found that students with high frequencies of
stressful life events and high OGM demonstrated higher levels of depressive
symptoms four to six weeks later. In a study by Raes et al. (2008) OGM
predicted an unfavourable course of depression in an electroconvulsive
therapy, with patients high in OGM having increased depression scores at
follow-up. Furthermore, for patients with PTSD, poor recall of specific
memories of their trauma accounted for 25% of the variance of PTSD severity 6
months post trauma (Harvey et al., 1998).
Memory specificity also appears to be a valid predictor for the clinical status
at follow-up for patients with MDD. According to Hermans et al. (2008), for
these patients, high levels of OGM increased the probability of still being
diagnosed with MDD three to four weeks later. In a recent meta-analysis,
Sumner, Griffith, and Mineka (2010) evaluated the available data for a total of
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15 studies. They concluded that OGM is predictive of more elevated depressive
symptoms at follow-up.
Several explanations can be offered for why reduced memory
specificity is associated with a worse prognosis in a variety of mental health
disorders (see Raes, Williams, & Hermans, 2009). First, reduced memory
specificity is known to block efficient social problem solving strategies. As
mentioned by Baddeley (1988), when referring to non-clinical samples, specific
memories of past situations are used as a frame of reference to guide problem
solving in the present. So when people face a problem, they tend to think back
to comparable situations and use their knowledge of what worked earlier on
for such a problem. Overgeneralization, i.e. not being able to access these
specific memories, leads to poor problem solving, both in non-clinical and
clinical samples (Evans, Williams, O’Loughlin, & Howells, 1992; Goddart,
Dritschel, & Burton, 1996; Pollock & Williams, 2001; Raes et al., 2005). For
depressed individuals, not being able to solve social problems can contribute to
the continuation of depressive feelings and, in turn, lead to more persistent
depression.
Second, individuals who are overgeneral about the past also appear to be
overgeneral about their future. Williams, Ellis, Tyers and Healy (1996) reported
that the degree of difficulty in generating specific images of the future was
found to correlate with the extent to which subjects failed to retrieve specific
autobiographical memories from their past. Such an aspecific, blurred
perspective on the future might engender feelings of indifference and
hopelessness.
Third, reduced memory specificity might lead to poor emotional processing.
After being faced with a negative event, thinking and talking in a specific
manner about such an experience is an easy way to reexpose oneself, allowing
the individual to emotionally process the negative emotional experience
(Littrell, 1998). Not being able to access specific memories of past situations
Autobiographical memory and problem solving
98
may lead to a much lower level of natural exposure.
A fourth pathway suggested by Raes et al. (2006) is a reciprocal interplay of
OGM with rumination. Both may represent two different aspects of a common
underlying process. This process would be discrepancy-driven and attempts to
use analytical thinking (rumination) and overly general self-referent knowledge
(OGM) to solve personal problems. Two aspects of this process are key: 1)
verbal-abstract analytic reasoning e.g. questions, ‘Where did it all go wrong?’
combined with 2) self-relevant material in the form of categoric statements
(‘Always alone’, ‘Feeling unhappy’, ‘Never relaxed’). Both of them interact and
fuel each other, creating a spiral interaction, producing fruitless attempts
resolving problems, thus enhancing depressive feelings and feelings of
hopelessness (Williams et al., 2007).
The issue of how reduced memory specificity impacts the course of
disorders like depression is both theoretically and clinically relevant. In addition
to the four aforementioned pathways, we believe that there might be an
additional process involved. More specifically, we argue that reduced memory
specificity might impact the extent to which patients can benefit from
psychotherapy. Most therapies include components of psychoeducation or
include other elements of knowledge transfer or information that needs to be
stored in memory (e.g. new insights, agreements and homework assignments).
Many of these elements play a crucial role in the effectiveness of interventions
(Stice, Shaw, Bohon, Marti, & Rohde, 2009). From our own experience, we
know that patients can strongly differ in the extent to which they recall
elements of previous therapeutic sessions. Some clients have very vivid and
specific memories (e.g. ‘Last session, you mentioned how I make things more
difficult by avoiding my sister. This has kept me busy. Observing myself last
week, I think I must agree.’), whereas other patients are left with a mere
general sense of what happened in the last session (e.g. ‘It was a good session’,
we talked about stress.’). The extent to which specific memories can be
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retrieved with respect to therapy sessions may codetermine the efficacy of
treatment. Patients who are more specific may benefit more, as they have
better access to new perspectives and interpretations, suggested problem
solving strategies, and will be able to implement these elements in between
sessions (e.g. behavior change). Asa result, not being able to retrieve specific
memories of therapy sessions might be an additional mechanism through
which reduced memory specificity impacts the course of emotional disorders.
Some prospective studies have already focused on this the relationship
between autobiographical memory specificity and treatment for depression
(Brittlebank et al., 1993; Peeters, Wessel, Merckelbach, & Boon-Vermeeren,
2002; Raes et al., 2006), finding some evidence that treatment effectiveness
could be predicted by autobiographical memory specificity. Nevertheless, these
have mainly focused on the predictability of memory specificity for complaints
at a future time, whereas the current study focuses on whether memory
specificity is predictive for the extent to which problem solving skills are
acquired through a psychoeducational course.
In line with our hypothesis, the present study was therefore primarily
designed to investigate whether differences in memory specificity are
associated with the extent to which persons can benefit from a
psychoeducational intervention for stress, anxiety and depression.
Psychoeducational interventions may be particularly sensitive to differences in
memory specificity as they mainly rely on the transfer of information to impact
behaviour outside the session. Because the psychoeducational program under
investigation primarily focused on the acquisition of new problem solving skills,
the dependent variable in this study concerned changes in problem solving
skills from pre- to post-treatment. Rather than measuring problem solving
through self-report, we employed a behavioural task (Mean Ends Problem
Solving task; MEPS, Platt & Spivack, 1975). The main advantage of using this
behavioural task is that participants are not simply asked to report on how they
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solve problems in general, but actually have to solve presented problems. This
test has been shown to provide more valid and accurate measures of
participants’ problem solving capabilities. It was predicted that memory
specificity would be associated with changes in problem solving skills, such that
the more specific the participant (as measured at the start of the training), the
more benefit in terms of problem solving skills acquisition. In addition, we also
investigated changes in self-reported complaints, but these were considered as
less relevant for the present research question given that such changes might
be short-term effects that are unrelated to the process of acquiring long lasting
problem solving skills (e.g. remoralization, hope, relief, social comparison). Two
secondary short-term relationships were nevertheless expected. A first
relationship was between changes in problem solving and selfreported
complaints, with a higher increase in problem solving strategies being related
to a larger decline in self-reported complaints. A second relationship was
between memory specificity and self-reported complaints, such that the more
specific the participant, the greater the decrease in self-reported complaints.
2 Method
2.1 Participants
Twenty-three students (17 women, 6 men) from two stress prevention courses
organized in the spring of 2007, agreed to participate in this study. The average
age was 21.7 years (SD = 1.9; range 19-26) and all participants were Dutch-
speaking. The courses were organized by the Psychotherapeutic Centre of the
KU Leuven and students were informed of these courses through the
university’s website and/or by a general mailing to all Dutch-speaking students
in the university. As an incentive for participation in the research, cinema
tickets were raffled.
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2.2 Materials
2.2.1 AMT
Memory specificity was measured using the AMT. Based on the extended
version of the Dutch AMT (Raes et al., 2008) two parallel versions were created
containing 20 cue words each. The words were matched for familiarity,
imageability and emotional intensity. In this version of the AMT, participants
were asked to write down a specific memory in response to 20 cue words of
alternating valence, with ten positive and ten negative words. Parallel version A
contained the following words: pleasurable, angry, attentive, emotionally hurt,
proud, angry, social, clumsy, enthusiastic, disappointed, self-confident, alone,
competent, desperate, succeeded, jealous, surprised, ashamed, satisfied, and
failed. Parallel version B consisted of: active, furious, interested, guilty, brave,
powerless, safe, sorry, carefree, anxious, happy, scared, relaxed, lonely,
successful, hopeless, brave, sad, helpful, and unhappy. These are all translations
of the original Dutch words. Reported memories can be roughly divided in two
groups. Specific memories are personal memories that refer to one particular
event, localized moment in time, lasting less than one day (e.g. ‘The moment I
heard I got the job at the pet shop’). Non-specific memories are subdivided in
categoric and extended memories, omissions, same events and no memories.
Generalized categoric memories are memories that may have occurred more
than once (e.g. ‘Every time I went to my friends’). Generalized extended
memories on the other hand refer to an event that may have happened only
once, but that lasted longer than one day (e.g. ‘During my vacation in Spain last
year’). When memories were coded, this scoring procedure produced a good
inter-rater reliability (K = .79).
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2.2.2 SAD-MEPS
The SAD-MEPS is an adapted version of the Means-Ends Problem Solving
Questionnaire (MEPS) developed by Platt and Spivack (1975). Like the original
MEPS the SAD-MEPS is used as assessment of problem solving skills. It consists
of a series of short stories with interpersonal problem situations faced by a
hypothetical protagonist. In each story, this protagonist is presented with a
problem, which is immediately followed by the successful resolution.
Respondents have to provide the middle of the story with the means and
strategies to reach its resolution. In the adapted version, stories are related to
situations of stress, anxiety or depression (Hermans et al., 2008). Three parallel
versions of the adapted format were used. In each version, three stories were
presented: one concerning stress, one concerning anxiety and one concerning
depression. Each story was scored for relevant means according to the manual
of Platt and Spivack (1975). A relevant mean is defined as being a discrete
sequential step enabling the protagonist to reach the goal described in the
story. Furthermore, also the overall effectiveness of the stories was calculated
on a 7- point Likert scale ranging from not at all effective to extremely effective
following a method provided by Fischler, Kendall, and Vye (1982). For both
scales, the average of all three stories was calculated. The inter-rater reliability
was good for number of means (ICC = .74) and acceptable for effectiveness (ICC
= .62).
2.2.3 DASS-42
To assess levels of depression, anxiety and stress, the Dutch version of the
Depression Anxiety Stress Scales-42 (DASS-42; Lovibond & Lovibond, 1995;
Dutch version by de Beurs, Van Dyck, Marquenie, Lange and Blonk (2001)) was
used. The internal consistency for the three subscales in this study was high
(.92 > α > .95).
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2.2.4 PSWQ
The Penn State Worry Questionnaire (PSWQ; Meyer, Miller, Metzger, &
Borkovec, 1990; Dutch version by van Rijsoort, Vervaeke, and Emmelkamp,
1997) was included in the study to measure beyond typical symptoms.
Worrying was therefore considered as an additional symptom and as an
underlying process of psychopathology (Raes et al., 2005). The questionnaire
showed an acceptable internal consistency (α = .78) in this study.
2.3 Procedure
2.3.1 Intervention
The psychoeducational course ‘Stress Control’ is based on the work of Jim
White (Borkovec & Whisman, 1996; White & Keenan, 1990; White, Keenan, &
Brooks, 1992). It is aimed at groups and delivered by a trained clinical
psychologist. For six sessions of two hour, twelve steps are run through. The
first step corresponds with the first session and consists of general information
concerning stress. This provides a framework for the session to follow. Steps 2
and 3 are linked to the first session and are homework assignments. The idea
behind this is that participants learn to apply the general information to their
own personal situation and create a personal frame of reference. In this way
they will have less effort to select the information that is being presented in the
subsequent sessions which can be relevant for them. Steps 4 to 12 are used to
examine a few contents in a more detailed way. Step 4 (Session 2) takes a
closer look to body control combined with breathing exercises; Step 5 discusses
(Session 3) cognitive techniques in combination with relaxation; and Step 6
(Session 4) teaches new skills in combination with relaxation. Step 7 to Step 10
(Session 5 and 6) used the knowledge from the first session and the learned
techniques from Session 2 and 3 and apply them to anxiety, panic, sleeping
problems and depressive feelings, and burnout. Finally, Steps 11 and 12
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(Session 6) provide an overview as guidance for future stress control. Both
courses were administered by the same clinical psychologist, who had received
prior training by the organization that adapted the original course to the
Flemish situation.
2.3.2 Assessment
Questionnaires were provided using the online survey site SurveyMonkey.com
(SurveyMonkey.com, Portland, Oregon, USA). First the AMT was presented
(only before the intervention), followed by the DASS, PSWQ and MEPS
(administered before and after the intervention). These were made available
one week before course commencement and one week after course
completion. To monitor each individual’s evolution, participants had to enter a
personal code before commencing with the questionnaire. After agreeing to an
informed consent form, they were able to fill out the questionnaires.
3 Results
3.1 Participant characteristics
DASS scores before the intervention were 11.48 (SD = 7.80) for depression,
12.48 (SD = 9.05) for anxiety and 18.61 (SD = 10.72) for stress. For worrying, a
mean PSWQ-score of 48.74 (SD = 8.42) was obtained. Overall, compared to
Dutch normative data (de Beurs, personal communication, 28 October 2007),
DASS scores were closer to those of a clinical sample than to scores of the
normal population. Worrying, furthermore, was slightly higher compared to the
normal Dutch population (van Rijsoort et al., 1997).
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Tabel 7 Changes in self-reported complaints (N = 23) after course
participation
3.2 Changes in self-reported complaints
DASS scores show a significant decline of complaints on all subscales, especially
for depressive complaints (Table 7). Worrying, as measured by the PSWQ,
shows a borderline statistically significant decline.
3.3 Autobiographical memory and changes in problem solving skills
Correlations were calculated for the AMT categories at baseline and the
differences between the pre and post measurements on the two SAD-MEPS
scores. Significant correlations were observed between the number of specific
responses and the changes in the number of relevant means. This was true for
the overall level of specific memories (r = .49, p < .01). Memory specificity went
hand in hand with positive changes in the number of suggested problem
solving strategies throughout the psychoeducational program (Figure 6). In
addition to the associations with memory specificity, a correlation was
observed between changes in ‘number of means’ on the SAD-MEPS and the
number of general extended responses (r = -.39, p < .05). Finally, a borderline
statistical significant correlation was found for changes in overall effectiveness
and the no memory category, (r = -.35, p = .06).
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Tabel 8 Means (percentages) and standard deviations on the different
categories of the autobiographical memory test (AMT) (N = 23)
3.4 SAD-MEPS Performance & relationship to complaints
For all participants, the average number of means reported in the SAD-MEPS
was 3.04 (SD = 1.03) before the course and 3.09 (SD = .98) after course
completion. The quality of the reported meanswas 4.03 (SD = 1.00) before
course commencement and 3.87 (SD = .82) afterward. Neither the change in
means nor the change in effectiveness of the SAD-MEPS responses were
significant, both Fs < 1. Furthermore, correlations were calculated for the DASS
and the PSWQ change scores and the two SAD-MEPS subscales. No statistically
significant correlations were found (rs < .33, ps < .13).
3.5 AMT Performance and relationship to complaints
Approximately 45% of the responses on the AMT were specific (Table 8).
Furthermore, 12% of the memories were general categoric and 30% were
general extended. Change scores were computed by subtracting pre
intervention scores from post intervention scores. Subsequently, correlations
were calculated for the DASS and the PSWQ change scores, and the AMT
baseline scores. Significant correlations were retrieved for the DASS-Anxiety
change scores, with the number of specific memories provided (r = .49, p =
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.009) and general extended memories (r = -.48, p = .01). As such, the more
specific memories and the less general extended memories a participant
provided prior to course commencement, the larger the decrease of the score
on the DASS Anxiety scale at post intervention.
Figure 6. Relationship between the AMT percentage of specific memories and
the SAD-MEPS change score for number of means.
4 Discussion
The goal of this study was to determine whether differences in memory
specificity are associated with the extent to which persons can benefit from a
psychoeducational intervention for stress, anxiety and depression. Although
there is already evidence for the overall effectiveness for psychoeducational
group interventions for stress, anxiety, and depression (Cuijpers, Muñoz,
Clarke, & Lewinsohn, 2009; Neil & Christensen, 2009; Van Daele, Van
Audenhove, Hermans, Van den Bergh, 2011), little is known about participant
characteristics that may influence course outcome at the individual level.
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For autobiographical memory, on average almost half of the answers were
specific in nature, but there was a certain amount of variability between
participants. No overall significant changes were reported when looking at the
effects of the psychoeducational intervention on problem solving strategies.
When the relationship between the AMT and the change scores for the SAD-
MEPS was considered however, some significant relationships were observed.
More specifically, a high number of specific memories and/or a low level of
general extended memories as measured by the AMT was found to predict an
increase in the number of relevant means used in SAD-MEPS’ problem solving
tasks. One could assume that this relationship might be accounted for by
changes in a communal third, for example executive functioning. In a study
with depressed patients Raes et al. (2005) already found that when SAD-MEPS
effectiveness was regressed on rumination, memory specificity, and working
memory functioning, memory specificity was the only significant predictor of
MEPS effectiveness. Whether this also applies to the acquisition of problem
solving skills is not yet known and will require further research.
Looking at in self-reported complaints, a significant decline was found on all
subscales of the DASS, indicating a short-term beneficial effect of the
psychoeducational course. Although these changes are positive, they are
considered to be only temporary and unrelated to the process of acquiring long
lasting problem solving skills, which in turn would lead to an actual, more
permanent reduction of complaints. This is in line with findings of previous
studies e.g. by White and Keenan (1990) and White et al. (1992) and also with
the current study not finding any correlations between changes in problem
solving as measured by the SAD-MEPS and these short-term changes in
complaints. Furthermore, there were only a limited number of significant
correlations between the AMT baseline scores and the DASS- and PSWQ
change scores. The absence of this relationship might seem surprising given the
research evidence on the predictive validity of the AMT for the course of
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depression, which was presented in the introduction. It is nevertheless
plausible that the time between pre and post measurement is not sufficiently
long enough to detect actual, long lasting changes at the symptom level. This
could explain the absence of these correlations.
As for other limitations: a first limitation the present study is its small
sample size (N = 23), which limited the power of the statistical tests. A second
limitation is that no follow-up data could be provided. It is expected that
individuals would continue to apply the problem solving skills taught during
psychoeducation to their own situations and therefore these would improve
over time. Because this assumption is dependent on further skill acquisition,
consolidation and continued practice, it is uncertain which correlations could
be expected when measured at a later point in time (e.g., six months after
course completion). A third limitation is that no information was gathered on
whether participants made clinical criteria for depression or if they were
undergoing any treatment during the time of the intervention. A final limitation
is the predominantly female composition of the study. Psychoeducational
interventions nevertheless primarily attract women and a relatively higher
proportion of women is associated with overall better results (Van Daele et al.,
2012). Therefore, having a primarily female composition does not make these
findings less relevant for the target group.
Nonetheless, if subjected to replication, these findings may have important
implications for the guidance and the setup of (psychoeducational)
interventions that intend to transfer knowledge and skills to targeted groups. A
first suggested step could be to setup an initial (self) screening of course
participants by means of the AMT, in order to determine whether their
memory specificity is sufficient to benefit from a psychoeducational
intervention. This will of course require further research on the predictive
capacities of the AMT, in order to determine what exactly corresponds with
insufficient memory specificity (e.g. determine a cut-off score). A second, and
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even more important step, would be to subsequently provide memory
specificity training to people with low memory specificity. This would enable
them to maximize their potential and to benefit fully from a psychoeduational
course.
111
Chapter 6
Overgeneral autobiographical memory predicts
changes in depression and anxiety in a community
sample
This study investigated whether overgeneral autobiographical memory (OGM) predicts
the course of symptoms of depression and anxiety in a community sample, after 3, 4, 6,
12 and 18 months. Participants (N = 156) completed the Autobiographical Memory Test
and the Depression Anxiety Stress Scales-21 (DASS-21) at baseline and were
subsequently reassessed using the DASS-21 at four time points over a period of 18-
months. Using hierarchical linear modelling, we found that OGM predicted long-term
changes at 12 months, B31= 22.4, p = .005, and at 18 months, B41 = 13.1, p = .025, from
baseline for depression. OGM furthermore predicted long-term changes for anxiety at
12 months, B31 = 16.3, p = .026. Similar to other studies, no short-term predictive
effects were found. The results from the current study provide additional support for
the hypothesis of OGM as trait-like characteristics, as it also appears to predict the
evolution of symptoms of depression and anxiety in a community sample.
Keywords
autobiographical memory, depression, anxiety, prediction, community sample
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1 Introduction
Overgeneral autobiographical memory (OGM) is defined as a difficulty in
recalling specific memories from one’s life. It was first investigated by Williams
and Broadbent (1986) in a sample of suicidal patients. The most common
assessment tool for OGM is the Autobiographical Memory Task (AMT; Williams
& Broadbent, 1986), which exists in several different versions. Generally,
participants are asked to provide specific memories in response to a set of cue
words. The instructions state that a specific memory is a personal memory of
one particular event that is localized in time lasting less than one day (e.g., ‘The
moment I found out that I got the job’; Williams et al., 2007). The valence of
the cue words is usually alternated between positive (e.g. ‘happy’) and negative
(e.g. ‘sad’). Although the goal is to retrieve specific memories, participants
often generate various types of non-specific memories. Some of these non-
specific memories are ‘categoric’, which are events that have occurred more
than once (e.g. ‘Every time I go to my favourite pub’). Other non-specific
memories include ‘extended’ memories (lasting longer than one day, e.g.
‘During my vacation in Spain last year’) or are ‘non-memories’ (a.k.a. semantic
associates). People suffering from clinical depression generally report fewer
specific and more categoric memories (van Vreeswijk & de Wilde, 2004;
Williams et al., 2007). These are considered to be the best indications for OGM.
1.1 OGM and depression
There is evidence that OGM also predicts increases in depression following
stressful life events, as shown by Mackinger, Loschin, and Leibetseder (2000) in
a sample of pregnant women and by Gibbs and Rude (2004) in students
experiencing high frequencies of stressful life events. Rawal and Rice (2012)
showed similar findings in a sample of 277 adolescents who were at familial
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risk for depression. These participants were initially free from a depressive
disorder, but OGM predicted the onset of MDD.
In depressed participants, however, OGM does not seem to be related to
the level of symptoms, as it actually appears to predict the course of their
depression (Brittlebank, Scott, Williams, & Ferrier, 1993). In a sample of 22
patients with MDD they found that OGM was highly correlated with the failure
to recover from depression and accounted for 33% of the variance in the
Hamilton Rating Scale for Depression (HRSD; Hamilton, 1960) at seven months
follow-up. Since this first study, similar results have been observed, for
example in 25 patients with MDD in a study by Peeters, Wessel, Merckelbach,
and Boon-Vermeeren (2002) and in a study by Raes et al. (2006) for 28 MDD
patients, both after seven months of follow-up. In conclusion, OGM seems to
predict the course of depression in specific populations including students and
clinical populations (Sumner et al., 2011).
1.2 OGM and anxiety
Since mood and anxiety disorders are often comorbid (e.g, Mineka, Watson, &
Clark, 1998; Kessler et al., 2005), it is possible that OGM is related to anxiety
and depression alike. A number of studies have already found evidence for an
immediate relationship between OGM and PTSD. Studies by McNally Lasko,
Macklin, and Pitman (1995) and McNally, Litz, Prassas, Shin, and Weathers
(1994) reported that Vietnam combat veterans with PTSD exhibited more
difficulty in recalling specific memories compared to those without PTSD.
Schönefeld, Ehlers, Böllinghaus, and Rief (2007) expanded upon these findings
in a study with 42 assault survivors. They reported that participants with PTSD
retrieved fewer specific memories and more overgeneral memories compared
to assault survivors without PTSD, but only when they were explicitly instructed
to suppress assault memories. For other anxiety disorders, the relationship
between OGM and anxiety is less clear. For example, Wilhelm, McNally, Baer,
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114
and Florin (1997) found that patients with obsessive compulsive disorder do
not exhibit OGM, unless they suffer from concurrent MDD. Furthermore, OGM
also does not seem to be associated with general anxiety disorder, social
anxiety disorder or blood and spider fearful individuals (Williams et al., 2007).
There are some indications, however, that OGM might be related to
changes in anxiety. Until now, the majority of these studies focused on OGM
predicting anxiety in the context of trauma or stressful life events (Williams et
al., 2007). Harvey, Bryant, and Dang (1998) found that participants who
developed acute stress disorder (ASD) following motor vehicle accidents
reported fewer specific memories in response to positive cue words, compared
to those who did not develop ASD. van Minnen et al. (2005) reported that for
women who failed an in vitro fertilization treatment, the number of reported
specific memories at baseline was negatively related to depressive and anxiety
symptoms after the treatment. Furthermore, Bryant, Sutherland, and Guthrie
(2007) conducted a study with fire fighters over a period of four years. They
found that impaired retrieval of specific memories in response to positive cues
prior to trauma exposure significantly predicted posttraumatic stress severity
after exposure to trauma. Finally, a study by Kleim and Ehlers (2008) showed
that for participants who were measured two weeks after an assault, OGM
predicted PTSD six months later over and above what could be predicted from
symptom severity and initial diagnoses of MDD, acute stress disorder, or
assault-related specific phobia. As of yet, no studies have focused on the
relationship between OGM and the occurrence of anxiety outside of trauma
research. Thus, there is little evidence that OGM is related to current
symptoms of anxiety. The current study sought to expand this area of research
by examining the relationship between OGM and anxiety as well as depression.
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1.3 OGM and the evolution of depression and anxiety
When studies focus on OGM and its relationship with the evolution of
emotional disorders, symptoms are often considered at one specific follow-up
point. Examples are the study by Anderson, Goddard, and Powell (2010) in
students with one follow-up after three months, the study by Dalgleish, Spinks,
Yiend, and Kuyken (2001) in patients with seasonal affective disorder with one
follow-up after seven months and the study by Raes et al. (2006) in depressed
inpatients which also included one follow-up after seven months. Although
these studies provide insight into the relationship between OGM and
psychopathology, they give little information on the trajectory of change over
time. Studies that include multiple discrete time points have the advantage
that they assess the form of the relationship over time. At present, few studies
have included multiple follow-up moments. Two of them focused on depressed
patients. A first was the study by Brittlebank et al. (1993) in which OGM in
response to positive words showed stable correlations to depression measured
at three months and seven months follow-up. A weaker relationship was found
for negative cue words. A second study was conducted by Peeters et al. (2002)
in 25 patients with MDD. In this study, the strongest effect was found for OGM
in response to negative cue words, which predicted depression at three
months. Borderline significant results were reported at seven months.
Furthermore, a study by Hipwell, Reynolds, and Pitts Crick (2004) with healthy
pregnant women found that OGM did not predict post-partum depressive
symptoms after two weeks. After eight weeks, however, OGM did significantly
predict depression. Hermans et al. (2008) focused on students who failed their
first exams at the university. No significant correlation was found between
OGM and change scores for depression at baseline and at a first follow-up after
two weeks. However, after nine weeks, a significant correlation for OGM and
change scores was found.
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116
In summary, there is evidence for a relationship between OGM and changes
in symptoms of depression and anxiety, but the available studies are difficult to
compare and few of them include long-term follow-up at more than one time
point.
1.4 Current study
It is clear that OGM can predict the course of depression in some populations,
and that OGM also predicts changes in anxiety. However, little is known on
whether OGM can successfully predict symptoms of anxiety and depression
outside the specific contexts of stressors and traumas. To redress these gaps in
the literature, we recruited a community sample and set out to examine the
potential of OGM to predict symptoms of depression and anxiety alike. Our
sample received questionnaires at five different time points (3 months, 4
months, 6 months, 12 months and 18 months) to accurately determine the
trajectory of this relationship. This follow-up is the longest known in literature
for a community sample. It is also one of the longest follow-up studies on OGM
in general, together with those by Spinhoven et al. (2006) and Bryant,
Sutherland, and Guthrie (2007), which included follow-up periods for 49 and 24
months respectively.
We hypothesised that OGM at baseline would predict the trajectory of
anxiety and depression. Specifically, we hypothesised that a higher proportion
of categoric memories and/or a lower proportion of specific memories at
baseline would be associated with an increase in symptoms of depression and
anxiety over time.
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2 Method
2.1 Participants
Our sample included 156 participants (53 men and 103 women; mean age 38.8
years, SD = 14.1, range = 18.9 – 68.8) from Flanders, the northern, Dutch-
speaking region of Belgium. Potential participants responded to advertisements
in local newspapers to participate in a questionnaire study concerning their
general well-being. Participants received € 10 per data collection wave for
participating. They were recruited as a convenience sample in a matched
control study evaluating the effectiveness of a psychoeducational intervention.
In this context a number of them would be matched with intervention
participants. For the current study, we only considered this control group, as
we were interested in the natural course of depression and anxiety and
whether OGM predicts this course.
2.2 Materials
2.2.1 Autobiographical Memory Task
Memory specificity was measured using the AMT. Participants were presented
with ten cue words and asked to provide a different, specific memory in
response to each of them. The words were of positive and negative valence
and presented in alternating order. Translated from Dutch, the positive cues
were: pleasurable, attentive, proud, social and enthusiastic; negative cues
were: angry, emotionally hurt, angry, clumsy, and disappointed. Responses
were scored as falling into one of six categories: specific memories, categoric
memories, extended memories, no memory (a.k.a. semantic associates),
repeated events, and omissions. Extended memories refer to an event that
may have happened only once, but that lasted longer than one day. A memory
is labeled as ‘same event’, when participants violate instructions and an event
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118
is repeated at least once in response to different cue words. The ‘no memories’
category mostly concerns semantic associations and irrelevant answers.
Omissions are non-responses. Inter-rater reliability was determined for the
responses of 30 participants. The level of agreement between raters was high
(K = .84; Viera & Garrett, 2005). In addition, multiple studies support good
psychometric properties of the AMT (Heron et al., 2012; Griffith et al., 2009;
Griffith, Kleim, Sumner, & Ehlers, 2012, Griffith, et al., 2012).
2.2.2 Depression Anxiety Stress Scales
Participants completed the DASS-21, including the depression (DASS-21-D) and
anxiety (DASS-21-A) subscales. Each subscale contains 7 items and sum scores
range from 0 to 42. Although symptoms of depression and anxiety are often
highly correlated, the DASS has adequate discriminant validity (Crawford &
Henry, 2003). Internal consistency for both the depression and anxiety subscale
is excellent with αs of .95 and .90 respectively.
2.3 Procedure
Participants completed the AMT and DASS-21 at Time 1, which were
subsequently sent back by mail to the investigators. During the follow-ups, the
DASS-21 was the only measure as participants no longer received the AMT.
Time 2 was five months after Time 1; Time 3 was six months after Time 1; Time
4 was one year after Time 1; Time 5 was 18 months after Time 1. Drop-out was
limited, with a maximum of 9 percent at any time point: 156 participants
completed the questionnaire at Time 1, 153 at Time 2, 144 at Time 3, 145 at
Time 4, and 145 at Time 5. As a part of the larger treatment effectiveness
study, participants also completed additional measures, which were unrelated
to the current study.
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Table 9 Hierachical Linear Model and results of DASS-21-subscales of depression and
anxiety as the dependent variables.
2.4 Analyses
For both DASS subscales, if fewer than 20% of the items were missing (i.e. not
more than one item), we prorated the scores by assigning the missing item the
average value of the other items of the subscale. We used hierarchical linear
modelling (Raudenbush & Bryk, 2002) to examine the effect of overgeneral
memory on the trajectory of complaints of depression and anxiety. Because
OGM, anxiety and depression were not normally distributed in this sample, we
used robust standard errors for significance testing. Participants had to
complete at least the baseline and one additional time point in order to be
included in the analyses. Full maximum likelihood estimation, which is robust in
the presence of missing data, was used in the estimation of model parameters.
Table 9 presents both models.
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Table 10 Descriptive statistics for the DASS-21-subscales of depression and anxiety.
The level-1 models for depression and anxiety, respectively, contained the
within-subject relationship between time point and the DASS-21. Time point
was dummy coded such that one variable measured the change from baseline
to T2 and from baseline to respectively T3, T4, and T5. Level 2 of the model
contained the regression of the level-1 parameters on baseline AMT. At level 2,
error terms were included for the four level-1 slopes to capture participant-to-
participant differences that might exist for the relationship between time point
and depression or anxiety.
3 Results
3.1 Descriptive statistics
Table 10 presents means and standard deviations for DASS-21-subscales of
depression and anxiety. At each time point, there was, on average, five percent
of data missing (after scores were prorated). We furthermore calculated AMT
proportions by dividing the number of responses for each category by the total
number of actual responses minus the number omissions (i.e., the
denominator of each proportion was the total number of responses possible
with the number of non-responses subtracted).
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Participants reported 64% (SD = 27) specific memories, 5 % (SD = 10) categoric
memories, 17% (SD = 16) extended memories, 14 % (SD = 19) no memories,
and 1 % (SD = 0) repeated events. In 2% (SD = 8) of the cases, no response was
given.
3.2 OGM and symptom changes
To test our hypothesis on the relationship between OGM and the change in
depression, we used DASS-21-D as the dependent variable in the regression
analysis. For the relationship between OGM and changes in anxiety, the DASS-
21-A was used as the dependent variable in the regression using robust
standard errors. When OGM was operationalized as the proportion of specific
memories, no significant results were found. However, when OGM was
operationalized as the proportion of categoric memories we found it did not
significantly predict depression at Times 1, 2, or 3, but did predict it at Times 4
and 5 (Table 9). Prediction of anxiety was significant at Time 4, and approached
significance at Time 5. In terms of the size of the effects, the coefficients that
indicate the effect of baseline categoric memories for depression were largest
at Time 4, B31 = 22.4, p = .005, and decreased at Time 5, B41 = 13.1, p = .025.
For anxiety, the coefficients were also significant at Time 4, B31 = 16.3, p =
.026, but the effect only approached significance at Time 5, B41 = 12.5, p =
.063.
4 Discussion
We studied a large community sample at five time points, with the last time
point 18 months after baseline. OGM predicted changes in symptoms of
depression and anxiety in this community sample. The large number of time
points allowed for a precise assessment of the form of the relationship.
Inspection of the size of the regression coefficients for each of these time
OGM predicts evolution of anxiety and depression
122
points (Table 9) showed that the effects were small at first, increased gradually,
and were strongest after one year. After one year, the effect sizes diminished.
Overall, effects are slightly stronger for depression compared to anxiety. A
limitation of this study is that we did not assess life stress or trauma, which
may also be related to anxiety and depression. Contrary to our hypothesis, we
did not find significant correlations at six months, which has been reported in
other OGM studies (Sumner, Griffith, & Mineka, 2010). A possible explanation
is that OGM has less influence on non-clinical samples, which has been
hypothesised by Raes, Hermans, Williams, and Eelen (2007). This would explain
why a longer follow-up period is required for our community sample before
significant (negative) effects of OGM on symptoms of depression and anxiety
are found. The increasing influence of confounding factors (e.g. environmental
or personal changes) in turn might be the reason why the strength of the
effects diminishes after peaking at one year follow-up and are no longer
significant at 18 months.
Most studies up until now have focused on the relationship between OGM
and changes in depression, so it is important to extend this research into
anxiety. Furthermore, previous studies on OGM and anxiety have always
considered the effects of OGM for a select number of people who faced highly
stressful or traumatic situations, whereas the current study broadens its
applicability to a more general community sample. A final merit is that we were
able to map changes across several time points.
In our sample, we did not find significant correlations between OGM and
symptoms of anxiety and depression at baseline, but hierarchical linear
modeling allowed us to examine changes in anxiety and depression from
baseline; these findings were consistent with our hypotheses. OGM may be an
underlying process involved in the exaggeration of symptoms, which is
consistent with the hypothesis of Williams et al. (2007) – that OGM may be a
trait-like characteristic that serves as a vulnerability factor for depression. As
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pointed out by Sumner, Griffith, & Mineka (2010) there was already evidence
that OGM was associated with the later increase of depressive symptoms in
non-clinical samples, but only mixed evidence for OGM predicting the course of
depression. This study adds additional support to the hypothesis of OGM as a
trait-like characteristic, as it also appears to predict the evolution of symptoms
of depression and anxiety in a community sample.
More research is needed on OGM across several time points. This could
provide a better view on changes in the strength of the relationship between
OGM and depression and anxiety. If our hypotheses are correct, a gradual
incline in the relationship between OGM and symptoms of anxiety and
depression, followed by a slight decline could be found in clinical samples in the
short-term (e.g. six months to one year) and in non-clinical samples in the
long(er) term (e.g. one year to one year and a half, or even longer). Finally,
further replication of these results in non-clinical samples could confirm the
potential of the AMT as a screening measure for internalizing psychopathology
in the general population. If similar results can also be found in clinical samples
(for example in patients with MDD), this would provide additional evidence for
OGM as a trait-like characteristics that can act as a significant vulnerability
factor for depression.
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Chapter 7
General discussion
Mental health is becoming increasingly important in high income countries
(World Health Organization, 2005; World Health Organization, 2012). However,
these countries also face more people with mental disorders (Mathers &
Loncar, 2006). Furthermore, even when conservative numbers are considered,
it appears that the majority of these people lack access to professional care.
Currently, less than one in three receives treatment (Kessler et al., 2005).
Ironically, we simultaneously also face the issue of overtreatment, due to
significant numbers of false positive detections of mental disorders in primary
care setting (Mitchell, Vaze, & Rao, 2009). If MHC ever wants to be able to
meet the demands and provide sufficient, efficient and adequate care for all, a
paradigm shift is required. In this paradigm shift, the position of MHC
organizations in society has to evolve from instances that primarily treat
disorder to services that also provide education, coaching and prevention. A
practical implication of this paradigm is the creation of a more accessible and
extended primary care, a goal to which this doctoral dissertation hopes to
contribute on a number of levels.
In this general discussion, we will offer a synthesis of the three main
research topics and their results. Next, we will discuss some limitations of the
research in this doctoral dissertation, together with future perspectives based
on these specific studies as well as on available literature. We will conclude this
general discussion with some considerations on the characteristics of
policy oriented research and a number of general and specific policy
recommendations.
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1 Research topics and main results
The research topics of this doctoral dissertation might seem diverse, but are all
united under the goal of policy oriented research. The first topic was
‘effectiveness’, which set out to gain additional insight in the overall evidence
base for psychoeducational group interventions that focus on stress reduction.
We furthermore evaluated the effectiveness of a local adaptation of a
psychoeducational group intervention. The second research topic was
‘implementation’ and focused on means to increase both fidelity and
adaptation when researchers and their partners in the field collaborate in
evaluating intervention effectiveness. A third and final research topic
considered the possibilities for ‘prediction’. Within this research topic, the
potential of autobiographical memory was investigated in predicting
intervention success for individual participants and in predicting the evolution
of mental health in a community sample.
1.1 Effectiveness
A first focus was to evaluate the effectiveness of psychoeducational
interventions for stress reduction in general. The goal was twofold: to provide
an overview of the short- and long-term effectiveness of psychoeducational
group interventions for stress and to chart possible moderators of intervention
effectiveness. The systematic review and meta-analysis reported small, but
consistently positive effect sizes for 16 studies at post-treatment (Cohen’s d =
.27). This provided a clear indication for the short-term effectiveness for this
type of interventions, with a larger overall effect compared to similar meta-
analyses (Martin, Sanderson, Cocker & Hons, 2009; Stice, Shaw, Bogon, &
Marti, 2009). Long-term effectiveness, measured for nine studies after on
average six months, was less pronounced (Cohen’s d = .20). Furthermore, as for
the moderators, a model including intervention duration and participant
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gender was found to explain 42% of the variance in effects. Apparently, short
lasting psychoeducational interventions for women were most effective. These
results are of course correlational and we therefore had to refrain from making
firm causal interpretations.
The finding that shorter interventions were more effective could be
considered surprising. One could have expected that the more time spent
working on and learning about stress and stress-related problems, the more
knowledge transfer and skill development would occur. However, in the
literature, this relationship is also not consistently reported. Richardson and
Rothstein (2008) for example reported similar results as they found that
shorter interventions produced better results. They even reported a distinct
pattern in which interventions that relied solely on relaxation techniques
benefit from longer duration, whereas interventions that were multimodal (a
description that fits almost all of the interventions in our meta-analysis) appear
to lose effect as their length increases. Aside from their (slightly) larger
effectiveness, shorter programs are also likely to be more cost effective and
practical to implement. Therefore, we tend to agree with the authors when
they state that short-term interventions just might be sufficient – and perhaps
even better – than programs of longer duration. As surprising as the results on
intervention duration might have been, as unsurprising is the finding that
interventions with larger numbers of women appear to accomplish better
results. Several explanations can be found; a first is that women typically report
more stress than men (Matud, 2004). The higher their initial level of symptoms,
the more change there can occur and the less chance there is for floor effects.
A second reason is that they have a more positive attitude concerning
psychological openness and they have more favourable intentions to seek help
from mental health professionals, compared to men. As Bertakis, Azari, Helms,
Callahan, and Robbins (2000) state, these might be just some of the reasons
why they also make more frequent use of (mental) healthcare services. This is
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also in line with findings by Pyne et al. (2003) who reported that their primary
care intervention for depression was cost-effective for women, but not for
men.
A second focus was to evaluate the effectiveness of ‘Stress Control’ (White,
2000, adaptation by ISW Limits, 2006). A total of 47 people participating in the
intervention were first matched with an equal number of controls on socio-
demographic variables and baseline levels of symptoms. Results of trend
analyses showed a steady linear decline of stress and depression in the
intervention group from pre-intervention to post-intervention and further on
through follow-up. These effects were not observed in the non-intervention
group. There also was a strong decline in worrying, but only little change in
stress management skills. Furthermore, measures of clinical significance
showed that almost 30 percent of all participants experienced a clinically
significant and reliable change in the year following the course. Finally, the
strongest effect occurred for those participants who presented themselves
with higher levels of initial symptoms. Within the intervention group, there was
a considerable amount of variation, which is why solely presenting the study
outcomes for the group as a whole might be misleading. When we compared
participants with low and high initials symptoms, participants with high initial
levels showed a much stronger continuous and gradual decline of symptoms
whereas most participants with low initial symptoms remained stable. Similar
results have already been found in other interventions (Rowe, 2000, 2006).
Some might consider this heterogeneity as a design flaw: if we would have had
a stricter participant recruitment policy, the participant group as a whole could
have been more homogenous. However, we wanted to implement the
intervention in real life circumstances in the field and measure how effective it
is in these conditions. Therefore, we only controlled a limited number of
parameters (i.e. the explicit exclusion criteria for potential high risk
participants). Because of that, we ended up with large differences between
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participants, but we believe this represents a more accurate and better
reflection of this stress management course when it is implemented in the
field.
1.2 Implementation
The second research topic was a direct consequence of (struggles with) the
evaluation of the effectiveness study. Personal experiences combined with a
search in literature resulted in the construction of a framework for
implementation research. Empowerment implementation provides a new look
at the concept of implementation fidelity and intervention effectiveness, as it
reconciles the apparent contradiction between adaptation and fidelity (Castro,
Barrera, & Martinez, 2004). More specifically, when implementing
interventions in the field, researchers have always struggled keeping their
interventions as pristine as possible, in order to safeguard their effectiveness
(Burns, Peters, & Noell, 2005). These well-meant attempts often had an
adverse effect though, as local partners were not fully convinced of the
proposed approach or decided to change vital intervention features anyway
(Levy, Baldyga, & Jurkowski, 2003). When commencing the effectiveness study
in three regions in Flanders, we became aware of these issues, as we noticed
that small changes were required to the initial implementation plan in order to
accommodate to local needs, suggestions or demands. In small scale
interventions that are tied to one particular setting it might be easy to make
such changes: deviations are documented and reported as ‘condiciones sine
quibus non’. This subsequently raises little issues for the gathering of data,
reporting of results and the final evaluation. However, because our
intervention had to be implemented in three different regions, it quickly
became clear that small deviations from the initial plan in each region could
possibly results in large differences between implementation settings. In the
end, this could hamper comparability across regions. Not accommodating to
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the needs and suggestions of local partners was out of the question, as the goal
of the Policy Research Centre Welfare, Health and Family, is to obtain results
that are highly relevant for both policy and practice (KU Leuven, UGent, VUB, &
KHK, 2007). Active involvement of partners in the field is considered key in this
context.
We therefore developed empowerment implementation, which tries to
overcome this issue. In this framework, an intervention consists of two parts: a
core component and less important intervention aspects. The core component
is proven effective in clinical trials and remains untouched throughout the
implementation process. Less important intervention aspects are decided upon
through an intensive collaboration between researchers and local partners. The
framework therefore consists of three main phases: partner selection, deciding
upon practical aspects and deciding upon content-related-aspects. As such, it
addresses and overcomes the issues of implementation fidelity and adaptation.
Because this framework has a broad applicability, it is interesting for all
researchers wishing to evaluate an intervention implementation in more
realistic circumstances, while also using partner input to their advantage. In the
end, all of those involved in the program benefit from increased stakeholder
participation, including the local partners (World Health Organization, 1986).
Because of their involvement, they have the ability to control and to adapt an
intervention to their needs, to enhance their ownership of the intervention,
and to increase their capacities to develop, adapt and implement future
interventions. This framework proved to be particularly useful for our
effectiveness study and because we wanted to spread this knowledge, we
decided to consolidate our findings in a publication in which we used the
effectiveness study as an illustration of how to put this framework into
practice.
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1.3 Prediction
Group psychoeducational interventions target large amounts of people and
often make little distinction between different participant profiles. This can be
considered an inherent strength of this intervention type, as it offers
anonymity and does not force people to interact with other participants and
professionals or to disclose personal information, which may lower the
threshold for participation (Mischoulon et al., 2001). However, it also has a
downside, as not all participants may benefit equally. Therefore, an important
improvement would be to predict the success for each individual in advance
and make use of targeted referral for this type of interventions. Because
determining this chance of success should require little time and should also
not be intrusive, the Autobiographical Memory Task (AMT; Williams &
Broadbent, 1986) was considered. This instrument is often used to determine
both memory specificity and overgeneral memory, concepts that have
previously shown their merits in predicting the course of mental health
disorders in a clinical context (e.g. Raes, Williams, & Hermans, 2009). In a first
study, evidence was found for memory specificity as a predictor for the
acquisition of problem-solving skills during a group psychoeducational
intervention ‘Stressbeheersing’ (ISW Limits, 2006), a local adaptation of the
intervention ‘Stress Control’ (White, 2000). More specifically, questionnaires
including the AMT and the Stress Anxiety Depression Means-Ends Problem
Solving Questionnaire (SAD-MEPS; Hermans et al., 2008) were administered.
This SAD-MEPS is used as assessment of problem solving skills. It consists of a
series of short stories with interpersonal problem situations faced by a
hypothetical protagonist. In each story, this protagonist is presented with a
problem, which is immediately followed by the successful resolution.
Respondents have to provide the middle of the story which contains the means
and strategies to reach its resolution. A total of 23 participants filled in these
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questionnaires prior to and after the psychoeducational course. Subsequently
correlations were calculated for the AMT at baseline and the difference
between the pre and post measurements on the SAD-MEPS. Significant
correlations were observed between the number of specific responses and the
changes in the number of relevant means.
Because of the encouraging results in the psychoeducational group
intervention, the AMT was also considered as a predictor for the course of
depression and anxiety in a nontreated convenience sample, i.e. the larger
community sample (N = 157) from which the matched control group in the
effectiveness study was sampled. Using hierarchical linear modelling
(Raudenbush & Bryk, 2002) OGM managed to predict changes in the long-term
for depression and anxiety. No effects were found after three, four and six
months. However, categoric memories did appear to predict depression and
anxiety after one year. After 18 months, only the significant relationship
between categoric memories and depression remained.
Before both these studies were conducted, OGM had already successfully
been applied in different situations. In clinical contexts it can serve as a
predictor for the course of depression (e.g. Brittlebank, Scott, Williams, &
Ferrier, 1993) and for the clinical status at follow-up for patients with MDD
(e.g. Hermans et al., 2008). Furthermore, OGM can also tell us something about
whether people are capable to have specific expectations and hopes about
their future (Williams, Ellis, Tyers, & Healy, 1996) or if people can successfully
manage negative emotional experiences (Littrell, 1998). These studies now add
additional applications to the use of OGM as it might also tell us something
about whether overgeneral patients can benefit from psychoeducation (or
maybe even psychotherapy in general) and if people from a community sample
might be vulnerable for developing (symptoms of) anxiety and depression.
However, questions still remain. For our study on the acquisition of
problem-solving skills, it is for example not quite clear whether these changes
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are actually caused by OGM or if a communal third like executive functioning
might also play a role. A study by Raes et al. (2005) already found that when
the effectiveness of problem-solving skills was regressed on rumination,
memory specificity and working memory functioning, memory specify was the
only significant predictor of the effectiveness of problem-solving skills.
Whether this also applies to the acquisition of problem-solving skills, is
nevertheless not yet clear. For our study with the community sample,
alternative explanations for the observed effects also exist, as there might be a
reciprocal interplay between OGM and rumination, both of which could
represent different aspects of a common underlying process (Raes et al., 2006).
Such a process would combine continuous worrying with overgeneral thinking
about one’s particular situation, as such creating a negative spiral interaction
leading to emotional problems.
2 Limitations and future perspectives
Within this PhD, we have focused on three different research topics. For each
of them, there are of course some methodological limitations, which will be
discussed below. These limitations also draw our attention to opportunities.
Therefore, we will also make recommendations for future research.
Furthermore, this research will also be framed within the larger context of
policy related research and the challenges this upholds.
2.1 Effectiveness
2.1.1 Limitations
The meta-analysis only used published articles, which made our study – just like
any other meta-analysis – prone to publication bias. We tried to avoid this by
using failsafe N-statistics (Rosenberg, 2005), but it remains highly likely that a
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number of interventions finding no effects probably never have been published
and therefore went undetected. Furthermore, in order to successfully conduct
the meta-analysis only randomized controlled trials could be considered in
which most studies made use of waitlist controls and no treatment controls.
We can therefore not conclude that psychoeducational group interventions for
stress are better than other specific interventions. Furthermore, we can also
not compare these interventions to treatment or care as usual, which could
have been achieved by (including) non-inferiority trials (Chevalier, 2009),
although such results are far more difficult if not impossible to include in a
meta-analysis. We can therefore only conclude that these interventions are
more effective in dealing with stress than undertaking no action at all.
As a first remark concerning the effectiveness study, we did not make use of
random allocation of participants, which seems rather inherent of research in
the field making use of long-term follow-up. Withholding (wait list) control
participants from following an intervention – even a psychoeducational stress
course – seemed deontologically incorrect. We found the matched control
design to be the most practical and ethical solution. Using this design, we could
have long-term follow-up because our control group did not require denying
people treatment. However, the main limitation of the study is that the
matching procedure was far from perfect. Although we managed to recruit a
large number of participants for the control group and could successfully match
people on socio-demographics like age, gender and socio-economic status, the
level of complaints at baseline turned out to be far higher for in the
intervention group compared to the control group. It therefore proved to be a
difficult task to find enough people with sufficiently high complaints in the
control group, which led to unequal baseline levels of complaints in the two
groups.
A second remark concerns the fact that this primary care intervention was
initially also presented as a primary preventive intervention. This is one of the
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three types of prevention, according to Caplan (1964, cited in Van den Broucke,
2001), together with secondary and tertiary prevention. Primary prevention
tries to reduce the incidence of new cases of a specific mental disorder.
Secondary prevention aims at reducing the prevalence by means of early
detection and treatment, whereas tertiary prevention aims at reducing the rate
of residual disability of chronic ill patients and also attends to them. The goal of
a psychoeducational group intervention with a focus on primary prevention is
therefore primarily to teach people who are mentally healthy how to safeguard
their mental health. A number of participants of the intervention actually
belonged to that target group and could be considered – according to the
definition of Keyes (2007) – as flourishing. However, the majority of
participants were facing at least mild to moderate symptoms. The course could
therefore not be considered as a primary preventive intervention. However,
because complaints were often still subclinical and the course could help
people to avoid crossing the ‘clinical threshold’, it may still be considered as a
preventive intervention, although ‘only’ focussing on secondary prevention.
A third remark concerns the participant profile. As often, the people
attracted by the intervention were on average middle-aged highly educated
women. It goes without saying that this makes the results hard to generalise to
other subpopulations. On the other hand, our meta-analysis had already shown
that other psychoeducational interventions for stress were evaluated with
similar participant groups, because in general (highly educated, employed)
women make most use of these services.
2.1.2 Suggestions for future research
Both studies also have their merits: aside from their findings, they also offer
suggestions for future research. The meta-analysis points out two major issues
in current research. A first is that still too little studies make use of (sufficient)
follow-up and effects are only considered in the period immediately following
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136
an intervention. Even when follow-up is included, six months is often
considered as strong evidence for long-term effects. More and longer follow-up
is however required to truly determine long-term effects. Furthermore, a lot of
studies report too little information on intervention characteristics. When
conducting moderator analyses we often encountered unclarities or
unspecified aspects of interventions. Since we are still unaware of what the
exact factors are that contribute to the (lack of) effectiveness of
psychoeducational interventions, documenting and reporting intervention
characteristics as detailed as possible is paramount. Only if we move beyond
reporting standard information like average age and gender, and also start
including characteristics that are not commonly reported like group sizes,
ethnicity, and presence of interaction, we will obtain a better view of factors
influencing effectiveness.
The main conclusion of the effectiveness study is in line with that of the
meta-analysis, but also offers some nuance. Our theoretical reflection remains
correct that effectiveness research with longer follow-up is necessary. When
implementing in the field however, methodology like the ‘gold standard’ RCT,
seems to reach its limits. Withholding treatment from people for long periods
in real life contexts not only seems, but actually is unethical. Alternatives like
matched control designs have their merits, but their validity is highly
dependent on the matching process and the pool of subjects from which they
can be recruited. Because this premise is partially violated in our own study,
conclusions had to be cautious. Future research studies will therefore have to
find a balance between producing studies of high internal validity, like RCTs,
and setting up studies of high ecological validity that make use of sufficiently
long follow-up. Balancing both contradictory needs may prove to be a difficult
task.
Furthermore, the general search throughout the literature that was a part
of this doctoral dissertation also pointed out to the need for a more extensive
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way of conducting research. When reading articles on intervention studies, the
strong emphasis on statistical significance of obtained effects cannot be
ignored. In general it seems that for a large part of the scientific community it is
even the major – if not the only – means to confirm effectiveness. However,
the goal for almost any intervention should be to obtain improvements for
participants or patients that truly matter for them. Realising a mere statistically
significant change on a number of highly specific preselected symptoms might
be insufficient. Making sure that change is not only reliable but also meaningful
should be an important consideration. Paying more attention to clinical
significance – in case of severe initial symptoms – might be one way to obtain
this goal. This can be done by systematically monitoring the evolution of
participants during interventions using validated questionnaires of which
normative data is available for large population groups. On the one hand, this is
advantageous for participants because it allows for detailed and personal
feedback on their progress. On the other hand, the advantage for researchers is
that this approach not only offers insight in whether any change is occurring for
participants, but also whether that change is meaningful from a clinical
perspective. Other monitoring efforts could also focus on paying more
attention to changes concerning the perception of mental disorders by patients
and to their general quality of life. These suggestions are without a doubt not
only relevant to research; ideally they could also be incorporated in everyday
practice.
Finally, in recent years there has been on a strong increase in the number of
economic analyses of (preventive) interventions. These compare the estimates
of economic burden to the costs of the program designed to reduce that
burden and compared to the outcomes achieved by the intervention (Corso &
Lutzker, 2006). An optimal cost effectiveness analysis ideally targets an
intervention that is well-defined, short-term and with a measurable outcome.
When Sefton (2000) considered social welfare interventions, he however found
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most interventions had multiple, long-term outcomes, which were often
qualitative in nature. The programs were also heterogeneous and often local
variations existed. The overall interventions effects were rather small and user
involvement appeared to be a determining factor for intervention
effectiveness. Taking these considerations into account, the importance, the
need and the possible merits of such analyses for preventive interventions in
the field of mental health should be acknowledged. However, when
considering the cost-effectiveness of interventions, results should always be
interpreted with caution and within the larger contextual framework.
2.2 Implementation
2.2.1 Limitations
For true empowerment of stakeholders, involvement is ideally present
throughout the whole research project (Levy et al., 2003; Wallerstein & Duran,
2006). Empowerment implementation should therefore be followed by
empowerment evaluation (Fetterman, 1996). This implies that partners would
be closely involved with the evaluation of the project. However, because clear
research objectives were determined in advance by policy makers, this was
unfortunately not possible in our study. Furthermore, although we made every
effort to involve partners in the field as much as possible during the
implementation, the explicit and detailed construction of the systematic
framework was only done after the actual implementation. If we could have
constructed this prior to the implementation, we might have obtained even
more relevant information and could have used this to optimize the framework
even further. Although we consider the current framework to be coherent and
well constructed, it certainly should not be considered a final version, as there
will always be room to add more detail and perfect it further.
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2.2.2 Suggestions for future research
We especially hope that this framework will be used by other researchers when
conducting research with partners in the field. Not only to actively apply
empowerment implementation in numerous similar contexts, but also to
specifically adapt and improve it. One suggestion for such an improvement
could concern the way in which interventions are presented towards
participants during their implementation. Motivational research has already
shown that there is a difference in how people perceive the pursuit of
promotion versus the pursuit of prevention. Pursuing health promotion implies
striving towards positive outcomes (gains) or trying to avoid the absence of
positive outcomes (non-gains). Pursuing prevention, however, implies striving
towards the absence of negative outcomes (non-losses) or trying to avoid
negative outcomes (losses) (Molden, Lee, & Higgins, 2007). A common
misconception is that prevention is all about avoiding undesired outcomes and
promotion focuses solely on achieving desired outcomes. However, whereas
both approaches are quite different, their outcome can be the same (Carver,
2004). For example, two individuals can strive to obtain the same positive goal,
reducing their stress level. For one person, this might be in order to avoid
becoming depressed (prevention concern), whereas for another it may well be
a way to achieve more calmness (promotion concern).
Although the focus on prevention or promotion may shift within an
individual depending on the circumstances or context, there is evidence for the
fact that some people are chronically promotion- or prevention-focused (Lee et
al., 2000). For now, this motivation research has mainly focused on individuals,
but it may also have opportunities in the field of intervention implementation.
Our intervention was mainly presented as prevention: dealing with stress, in
order to avoid depression and anxiety. This approach may appeal far less to
people who have a health promotion-focused mindset. Could the reach or even
the effectiveness of the intervention be influenced by changing the way an
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intervention is portrayed, depending on the target group or even depending on
each individual participant?
An intervention that better matches the motivational goals of individuals
could perhaps improve their intervention adherence, their retaining of
information, and the time and effort they invest in the intervention. Achieving
such an improved match between intervention and individual would only
require minor adaptations to the original intervention: the actual content does
not require change, but only the way it is portrayed. Such adaptation might of
course be difficult to achieve for group interventions as the intervention cannot
be tailored to fit each and every individual. However, there are certainly
interventions in which the way content is portrayed can be tailored more easily
(e.g. e-mental health interventions). It does not seem unlikely that this may
have substantial effects. This could therefore be an interesting next step in
improving the implementation strategy of preventive interventions.
2.3 Prediction
2.3.1 Limitations
The first study found that memory specificity could act as a predictor for the
acquisition of problem-solving skills during a group psychoeducational
intervention. There were several limitations to this study. As a first, its sample
size was rather small. Furthermore, the participants were predominantly
female. This limitation was however not a major drawback, given that we
previously found in the meta-analysis that psychoeducational interventions
actually attract mostly women and the results are therefore still relevant for
the participant group as a whole. Furthermore, only post measurements were
available. Given our strong emphasis on the need for follow-up in intervention
studies, it is unfortunate that for this specific study, we do not dispose of long-
term follow-up data. A limitation of the second study is that it made use of a
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convenience sample, which is not the same as a non-clinical sample, as we
could not determine whether individual participants suffered from a DSM-IV
disorder. Furthermore, we also were not aware of the occurrence of possible
stressors, like aversive (life) events that may have influenced symptoms of
participants.
2.3.2 Suggestions for future research
Because of the small sample size, a next step would be to replicate the findings
from the first study. If replicated, these findings may have important
implications. When guiding people towards this particular or other similar
interventions, a first step could be an initial (self) screening during which
potential participants can determine whether they might benefit from the
intervention or not. A second and possibly even more important step is that
memory specificity training (MeST; Raes, Williams, & Hermans, 2009) could be
offered to people with low memory specificity prior to the psychoeducational
intervention. This would enable them to maximize their potential and to
benefit fully from the intervention. Such a training program consists of four
weekly one hour sessions, offered to small groups of three to eight
participants. The first session mainly concerns psychoeducation about memory
functioning in relation to depression, after which participants are offered
homework exercises that require them to generate specific memories for ten
cues, in preparation of the second session. The second session starts with
discussing the homework, after which participants are asked to recall detailed
specific memories for four cues (two positive and two negative) and they again
receive ten cues to prepare for the next session. Session three and four are
similar to session two, but focus more on negative cues. In the end, a brief
summary of the whole program is offered and participants can evaluate the
course and share their personal experiences with the training with the other
group members and the trainer. A study by Raes et al. (2009) showed that the
General discussion
142
retrieval style of participants became significantly more specific following the
training. Neshat-Doost et al. (2012) found similar results and also reported that
lower levels of depression at two month follow-up compared to a control
group. Finally, Raes, Schoofs, Griffith and Hermans (submitted) replicated these
findings in a non-randomised controlled trial and furthermore also found that
for MeST participants, increases in memory specificity were maintained at one-
year follow-up.
The second study provides preliminary indications that the concepts of
memory specificity and OGM could be relevant for predicting the increase of
symptoms of depression and anxiety. This offers opportunities for the AMT as a
screening measure for internalizing psychopathology in the general population.
Because we furthermore know that memory specificity can also be trained, it
may also be relevant to incorporate MeST as a component in more general
preventive interventions in primary care.
Aside from these suggestions that focus on more applied research, both
studies also highlight opportunities for basic research, as a number of
theoretical questions remain. For each study, we like to highlight one. As for
OGM and the acquisition of problem solving skills, an interesting question is
whether a communal third like executive functioning also play a role in the
acquisition of problem solving skills. For the relationship between OGM and
symptoms of anxiety and depression in a community sample, a hypothesis
worth investigating is whether a reciprocal interplay between OGM and
rumination could be the explanation for a negative spiral, leading to depression
or anxiety. In both cases, future research is required.
3 Characteristics of the research in this PhD
The topics in this doctoral dissertation might seem quite diverse. This is a
consequence of the focus of this PhD which was not solely to conduct in-depth
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research, but especially to advance general knowledge and my personal
expertise across the domains of research, policy and practice. These three
domains interact closely and decisions in one domain almost always influence
the others. The interaction between these domains is visualised in Figure 7 and
will be discussed in detail below.
For this PhD, Policy is represented by the Policy Research Centre Welfare,
Health and Family. It has the specific goal to support policy makers in pursuing
an effective and innovative policy, and to do so with scientific results (KU
Leuven et al., 2007). Closely involved in the Research component are the
Research Group on Health Psychology, the Centre for Excellence:
Generalization in Ill Health and Psychopathology and LUCAS, the centre for
Care Research and Consultancy, all units of the KU Leuven. Last but certainly
not least is Practice, which is embedded in the complex context of MHC in
Flanders (one of the regions of Belgium).
Figure 7. Relationship between policy, research and practice.
General discussion
144
Policy interacts with research (1) as time and means are often limited and
interests and opportunities have to be balanced. Research is done on a per
project basis, of which both the duration and focus do not always correspond
with the typical trajectory for obtaining a doctoral degree. Research on the
other hand also interacts with policy (2), as results obtained in research are
translated into policy recommendations which can subsequently for example
be incorporated in national guidelines or action plans. The results on the
effectiveness study can for example be framed within the larger context of
Flemish action plan on prevention of suicide (Coppens, Scheerder, & Van
Audenhove, 2011). Research furthermore also influences practice (3), as
concepts that are found in basic research are translated to relevant tools and
interventions which can be applied by partners in the field. Both articles on the
AMT have the literature on OGM and memory specificity as a basis. We used
this evidence from basic research and translated it to the field, in a search for
highly specific applications, like predicting the capability of stress course
participants to acquire problem-solving strategies or for predicting the
evolutions of symptoms of anxiety and depression in a community sample. The
other way around, feedback and concerns from practice are also conveyed to
research (4). These concerns help shape both content and implementation of
tools and interventions, for which empowerment implementation is an
example. Finally, practice and policy also interact closely (5+6) and in this
interaction they often rely on information from research to find suitable
compromises between what is preferred by practitioners and with is possible
for (government) administrators.
In conclusion, applied research may be broader and therefore less in depth,
but it also has several merits. Because it is conducted in more realistic
circumstances, obtained research evidence is more relevant for everyday
practice and also for policy makers. This makes further translation and
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subsequent dissemination of findings easier and improves its chances for
success.
4 Specific implications and general policy recommendations
4.1 Specific implications
The results from this doctoral dissertation have a number of specific
implications for practitioners and for policy makers. First, it provides good
prospects for the use of group (psychoeducational) interventions as a means of
primary and/or secondary prevention. Although there is still some level of
uncertainty concerning the effectiveness, we have found that different
organisations in the field of primary (mental) healthcare are capable of
successfully setting up primary care interventions through means of ad hoc
partnerships. Second, throughout the dissertation it became clear that primary
care interventions may provide an opportunity for MHC to redefine its services.
These interventions may not only reach a greater number of people in need of
care, in some cases they may even be used to prevent (the deterioration of)
subclinical mental disorders. As they are set up within the local community and
with well known partners from outside of medical contexts, or virtually through
means of the internet, this makes the threshold for participation lower in both
cases. A key advantage is furthermore that they may be less associated with
stigma, which still remains an important issue.
The main challenge for these primary care interventions seems to be in the
actual reaching of the people in need or even the people not (yet) in need. The
slogan we would like to propose in this context is: ‘reach out to where the
people are’, an adage which can also be found in the context of neighbourhood
work (Henderson & Thomas, 2013). Currently, MHC acts mostly as a service
provider which attracts a limited number of people who struggle and reach out
General discussion
146
themselves with a request for help. Healthcare professional subsequently try to
accommodate their needs, alleviate their distress, or reduce their symptoms.
This concerns however a limited number of people, who professionals often
only see when much harm has already been done. If MHC however wants to
make optimal use of primary care interventions, it has to quit being a mere
service provider and also be more proactive by promoting such services. This
implies that mental health professionals should actively try to reach people
who have increased risks for mental disorders.
At a structural level, two main components are required to evolve to a
better MHC: 1) integration of mental health services into primary care and 2)
an intense integrated and collaborative care between service providers (Collins,
Hewson, Munger, & Wade, 2010). Taken together, this doctoral dissertation
portrays a positive and hopeful message, as it shows that both aspects are well
within our reach and that these can already be realised successfully in small
scale studies.
4.2 General policy recommendations
If we transcend our research further, some general policy recommendations
and long term proposals can also be made. In a post-financial crisis period,
means are scarce and everyone – including the MHC sector – has to be
economical. It may therefore seem sensible to invest most (or maybe even all)
of these limited means in those who currently require them most: the patients
in need of (urgent) psychological care. However, although this group may
certainly not be forgotten and their funding and support should not be
interrupted, there is also a need for a future-oriented policy that extends
beyond maintaining the status-quo. The current situation is far from ideal, with
a significant number of people suffering from mental disorders because they
are lacking professional care (Bebbington et al., 2000; Kessler & Wang, 2008).
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147
Without additional efforts, we should not expect any drastic change in the near
future, if any even deterioration (Mathers & Loncar, 2006).
4.2.1 Beyond the healthcare sector
In order to address this issue, we first need to extend our scope beyond the
healthcare sector. Unemployment, adverse neighbourhood characteristics, low
income, education, socio-economic status (SES) and income inequality are all
associated with mental disorders, as described in a meta-analysis by Lund et al.
(2010). It might therefore seem like a good idea to set up primary care
interventions targeted at people from a lower SES aimed at teaching them how
to cope with stress. However, as their stress may likely be caused by
unemployment or by other factors related to their current standard of living,
such initiatives might just be a bit perverse. Although there is ‘no health
without mental health’, a first prerequisite for everyone still remains to
safeguard more basic needs, labelled as ‘physiological’ and other ‘safety needs’
by Maslow (1954) already a long time ago. The primary goal for every policy
maker should therefore still be to first address such issues. It seems however
unrealistic to expect that such societal problems will be easily addressed or
quickly resolved. Furthermore, not every mental disorder or all symptoms of
depression, anxiety ... can be traced back to e.g. poor standards of living or to
income inequality.
4.2.2 Innovations within MHC
MHC therefore still needs to evolve further. For people with severe mental
disorders, an increased attention to outreaching is required and for the general
population the attention should shift, preferably from curing to educating,
coaching and promoting mental health.
Without a doubt, advanced care for people with severe symptoms and
mental disorders will always remain an aspect of MHC. When such care is
General discussion
148
organised, it is preferably done in a context of integral care, in which the needs,
questions and goals of people who require care are taken into account in order
to pursue good quality of life for each patient (SARWGG, 2012). Similar to these
changes is the choice for more outreaching of care, in which patients are no
longer always treated in specialised hospitals, but in their own living
environment. Assertive community treatment (ACT) is such an intervention
type in which care providers first focus on gaining patients’ trust in order to
make them voluntarily engage in treatment (Mulder & Kroon, 2009).
As previously discussed in the introduction, there are furthermore some
essential changes required in order to provide a better fit of MHC with the
general population as a whole (Werkgroep Eerstelijnsgezondheidszorg, 2010).
At the level of the general public and patients, it is important to increase
mental health literacy, but also to improve the general attitude, as stigma
remains an important issue (Lasalvia et al., 2012). Also for health professionals,
there should be increased attention to knowledge and attitudes towards
mental health. One particularly promising initiative is the introduction of
primary care psychologists. Primary care psychologists offer generalist, short-
term support in primary care in close collaboration with other professionals like
GPs. This initiative has already proven its merits in The Netherlands (Emmen,
Meijer, & Verhaak, 2008) and may also offer opportunities to promote and
disseminate primary care interventions further to the broad general public. Last
but certainly not least is the policy level: all of the realisations mentioned
above required substantial funding, something MHC – and especially
prevention in MHC – is lacking. Aside from the important role policy makers can
play in providing additional funding, they can also help practitioners guide this
transition. For this they can rely on both basic and applied research can help
them to take the leap. Because any policy should rely on the best available
information, an important goal remains therefore to continue investing in
policy research. This can help policy makers gather insights in the current state
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149
of MHC, how particular interventions work, for whom these are most effective
and how they should be implemented. This knowledge has high practical value,
as it can be used to shape current and future MHC and as it also helps to make
optimal use of all resources currently available. Research evidence on the
effectiveness of stepped care (e.g. van Straten, Tiemens, Hakkaart, Nolen, &
Donker, 2006; van‘t Veer-Tazelaar et al., 2009) and the use of primary care
interventions like group psychoeducational interventions (e.g. Van Daele et al.,
2012), and e-mental health (e.g. Griffiths, Farrer, & Christensen, 2010) all has to
be taken into account when shaping the MHC system of the future.
If we can manage to realize these prerequisites, MHC might be able to
successfully restructure itself. During this restructuring, MHC has the
opportunity to convey a strong and positive message: mental health is more
than the absence of mental illness and everyone can learn how to maintain or
improve his or her mental health. However, for those who struggle and who
need additional help or guidance, individual ambulatory consultation and
residential treatment is still available. Translating this stepped-care approach to
any local situation will require a great deal of effort, but should preferably start
today, rather than tomorrow.
150
151
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Dankwoord
Ziezo, je bent er geraakt: het einde van dit doctoraat, meerbepaald het
dankwoord! Een woordje van dank op het einde plaatsen leek me iets logischer
dan in het begin, want alleen al het feit dat je tot hier bent geraakt verdient
een welgemeende dankjewel. Tenzij je al mijn harde werk gewoon genegeerd
hebt en uit nieuwsgierigheid meteen tot hier hebt gebladerd. Ik neem het je
niet kwalijk, maar ik kan je wel aanraden om toch eens terug te kijken naar de
voorgaande hoofdstukken: interessant onderzoek, relevante resultaten en toch
ook wel een groot deel van mijn tijdsinvestering de afgelopen vier jaar.
Maar, genoeg gezeverd en nu even serieus. Ik mag dan wel degene zijn die
‘het proefschrift heeft aangeboden’, het is zeker niet enkel en alleen mijn
verdienste. Doorheen de jaren heb ik met heel veel mensen contact gehad die
elk op hun eigen manier hebben bijgedragen aan dit doctoraat. Ze allemaal
bedanken is een huzarenstukje en je loopt natuurlijk altijd het risico om iemand
te vergeten, maar ik zou toch graag een poging wagen.
Ten eerste natuurlijk mijn promotor, Omer. Vier jaar geleden introduceerde
je me bij het steunpunt, gaf je me de mogelijkheid om te doctoreren en nam je
daarbij ook de rol op van promotor. We waren beiden misschien enigszins naïef
om na het relatieve succes van mijn masterproef de stresscursus nu eens te
gaan implementeren en valideren in de wijde wereld (of althans toch in
Vlaanderen). Het bleek uiteindelijk een hele beproeving, met onverwachte
ontwikkelingen en veel bijsturen. Ik kon er echter altijd op rekenen dat je me
met de nodige rust en kalmte hierdoor zou leiden. Bij het schrijven van
verschillende artikels en het doctoraat stond je verder ook altijd klaar met
nuttige en constructieve feedback. Al zal ik vooral de bemerking “opvallend
goed geschreven qua taal, beter dan gewoonlijk :)”, niet snel vergeten. Voor dit
Dankwoord
180
alles wil ik je heel oprecht van harte bedanken!
Ik kon verder ook nog rekenen op twee copromotoren die me elk vanuit
hun eigen expertise met raad en daad hebben bijgestaan. Dirk, bijna zes jaar
geleden werd mijn eerste keuze voor een masterproefonderwerp door puur
toeval, tot twee maal toe uitgeloot. Al na onze eerste contacten bleek dat ik
niet alleen het geluk had om een masterproef te mogen schrijven op een
onderwerp dat me echt aansprak, maar dat het ook wel heel goed klikte met
de promotor daarvan. Doorheen de jaren heb ik altijd op je kunnen rekenen
voor snelle commentaren, je oprechte interesse en een grenzeloos en
aanstekelijk enthousiasme. Ook aan jou daarom: bedankt! Chantal, LUCAS was
in eerste instantie onbekend terrein: niet alleen was het een eindje verwijderd
van het vertrouwde PSI, ook beleidsrelevant onderzoek was mij nog vrij
onbekend. Doorheen de jaren heb je me stap voor stap geïntroduceerd in deze
wereld en was je er steeds om me op de do’s en don’ts te wijzen. Jouw
ervaring, bijsturingen en tips hebben een essentiële rol gespeeld in het tot
stand komen van dit doctoraat.
Naast met mijn promotorenteam was er ook veel ondersteuning uit diverse
andere hoeken. Ten eerste zijn er de co-auteurs van onze publicaties en de
leden van mijn begeleidingscommissie. Bedankt Filip, om altijd vol
enthousiasme en ongelofelijk snel te reageren op mijn vragen en om geregeld
te polsen hoe het met de vooruitgang van mijn doctoraat stond. Jamie, al
beperkt onze samenwerking zich slechts tot het afgelopen jaar, ik heb in die
periode je analytische skills en je input bij het schrijven heel erg geapprecieerd.
Deb, bedankt voor de verschillende keren dat we hebben samengezeten rond
het opzetten van de interventies, het waren telkens heel verrijkende
ervaringen. Een dankjewel is zeker ook gepast voor de je hulp die je hebt
geboden in het bijsturen van het onderzoek, toen dat wat moeilijker liep.
Stephan, ik kwam destijds naar jou met een idee om een artikel over onze
implementatieperikelen te schrijven. Ik ben er nog altijd van onder de indruk
Dankwoord
181
hoe we onder jouw impuls erin geslaagd zijn om op basis daarvan een volledig
theoretisch framework te construeren. Hoewel onze contacten meestal via
mail verliepen, vond ik de bezoekjes aan Louvain-La-Neuve ook heel verrijkend.
Daarnaast kon ik ook beroep doen op de nationale en internationale expertise
van mijn juryleden. Jim, I would like to thank you sincerely. You might not be
fully aware of it, but you have been a major influence on me for the past six
years. Ever since I heard about the Stress Control course and your vision on
mental health(care) I was really fascinated by its potential and I wanted to get
involved. In the end, both my master’s thesis and my doctoral dissertation are
largely inspired by your work. Furthermore, I really enjoyed our contacts so far
and I hope we can keep in touch! Heleen, ook jou wil ik bedanken om opnieuw
een tekst van mij door te nemen en hier kritisch over te reflecteren. Daarnaast
zal ik zeker ook onthouden hoe je me geïntroduceerd hebt in de wondere
wereld van e-mental health en de groep Europese onderzoekers die hiermee
bezig is. Professor Claes wil ik ten slotte bedanken om ook de rol als jurylid van
mijn doctoraat te willen opnemen.
De volgende groep mensen die ik wil bedanken, is een meer omvangrijke:
mijn collega’s. Het Steunpunt Welzijn, Volksgezondheid en Gezin was officieel
mijn werkgever. Valérie, als coördinator stond je heel dicht bij het dagelijks
reilen en zeilen van mijn onderzoek. Ik wil je bedanken voor het luisterend oor,
de talloze keren dat ik je bureau ben binnengestormd met de een of andere
bezorgdheid. Je zorgde voor het nodige overzicht, maar ook voor een
ontspannende babbel bij een kop koffie of tijdens een lunch in de Timory en in
diverse andere etablissementen. LUCAS was de onderzoeksgroep waar ik
meestal mijn dagen spendeerde. Jullie zijn ondertussen met een hele bende en
de laatste tijd zijn er ook heel wat nieuwe gezichten, maar ik wil jullie allemaal
bedanken om af en toe te polsen hoe het onderzoek of het doctoraat gaat en
de vele ontspannende momenten. Sophie, Evelien, Johanna, Anja, Iris, Veerle,
Jasper, Eva, Kirsten, Koen, Jeroen, Evy, Inge, Jessie, Aline, Nele, Stephanie, Joke,
Dankwoord
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Liza, Dirk, Marieke, Monia, Kevin, Manuela en Lut: allemaal hartelijk bedankt!
Ook bedankt aan de collega’s die er voor een groot deel van mijn traject bij
waren, maar ondertussen elders vertoeven: Alexandre, Ann, Else, Kristien,
Maartje, Nele en Bert. Ten slotte, een specifieke dankjewel aan mijn huidig
bureaugenoot Annelies voor haar steun. Aan jou wil ik ook mijn oprechte
excuses aanbieden voor mijn vele ostentatieve gezucht de afgelopen maanden
tijdens het finaliseren van dit doctoraat. Zeker ook bedankt aan mijn oud
bureaugenoot Bram, voor de jaren die we samen al doorgesparteld hebben en
waarbij ping pong tijdens de middagpauze werd afgewisseld met hitte- en
koudegolven, met het maken van constructies met duplo en met het bezoek
van wespen, een ‘inbreker’ en een verdwaalde koolmees. Natuurlijk was er ook
nog de Onderzoekseenheid voor Gezondheidspsychologie. De meeste onder
jullie kennen me daar vooral als de persoon die pas opduikt tijdens retraites,
recepties of etentjes. Verder was de jaarlijkse International Dinner Party
telkens een schot in de roos, waarvoor dank, Angela! Jullie hielpen me met de
nodige ontspanning, maar het was voor mij ook iedere keer weer een
verrijkende confrontatie met basisonderzoek en het reilen en zeilen van de
academische wereld. Ook jullie allemaal bedankt: Kai, Katleen, Erik, Elena,
Marleen, Rena, Hassan, Ali, Joanna, Meike, Sibylle, Martien, Elke, Stéphanie,
Marta, Katja en Ruth. Een extra dankjewel aan Thomas, Steven en Ann: al van
bij het hele begin, op de eerste retraite in de Ardennen, hebben jullie visie en
de ervaringen die jullie deelden mij een beeld helpen vormen van wat de
mogelijkheden zijn als onderzoeker en hoe je die zo optimaal mogelijk kan
benutten.
Omdat mijn onderzoek in nauwe samenwerking werd opgezet met de
praktijk, kan ik ook de verschillende lokale partners niet dankbaar genoeg zijn.
Velen van jullie hebben je vrijwillig geëngageerd en bijkomend ingezet voor het
project. Sommige onder jullie gingen zelfs zo ver om deelnemers aan te manen
de vragenlijsten in te dienen ‘want het is toch wel voor Tom zijn doctoraat,
Dankwoord
183
hoor!’. Een welgemeende dankjewel daarom aan CGG Vagga, Provincie
Antwerpen, het toenmalig LOGO Antwerpen, Stad Antwerpen, CGG LITP,
OCMW Genk, de gemeentebesturen van As, Zutendaal, Opglabbeek en
Diepenbeek, de werkgroep Genk Preventief Gezond, CGG Largo, het toenmalig
LOGO OIVD, de Provincie West-Vlaanderen, het Cultuurcentrum Ieper en alle
andere personen en organisaties die zich op de een of andere manier voor het
STAP-project hebben ingezet.
Onderzoek is natuurlijk niet alles. Daarom ook bedankt aan iedereen uit
mijn omgeving en de mensen bij het VVKP en het LAPP, in het bijzonder Jana,
voor de nodige afwisseling en ontspanning. Verder wil ik ook Sigrid bedanken
voor de wekelijkse broodjes in de Kruidtuin, een ideaal moment om even te
ventileren over de problemen met publicaties, maar ook om stil te staan bij hoe
leuk doctoreren soms wel niet kon zijn. Daarnaast zijn er natuurlijk ook nog
Steven, Pieter en Ben. De middagslunches aan ‘de tempel’, onze
mannenweekends, de after work drinks en zo veel meer, het zijn telkens
hoogtepunten.
Daarnaast is er natuurlijk ook mijn familie. Een speciaal woordje van dank
voor tante Karien en nonkel Martin die al sinds mijn eerste jaren hier aan de
universiteit er een gewoonte van hebben gemaakt om af en toe uit Zuienkerke
langs te komen, vooral in de examens, om me even uit de studiesfeer te halen
en voor wat broodnodige ontspanning te bezorgen. Ook bedankt aan mijn
broer Dries, voor de avonden hier in Leuven, maar ook voor de gezellige tijd die
we samen geregeld hebben in Varsenare. Mama en papa ik heb zoveel aan
jullie te danken: doorheen de jaren hebben jullie me steeds alle kansen
gegeven en hebben jullie me steeds op alle mogelijke manieren ondersteund.
Zonder jullie was dit nooit gelukt. Het mag dan misschien wel ‘mijn’ doctoraat
zijn, maar jullie verdienste hierin is niet te onderschatten.
Als allerlaatste wil ik ook nog Ann-Sofie bedanken. Mijn verloofde op het
moment dat ik dit schrijf, mijn vrouw wanneer ik dit doctoraat verdedig. Na al
Dankwoord
184
die tijd zijn we zo op elkaar ingespeeld dat ik mijn leven zonder jou eigenlijk
niet kan voorstellen. Je hebt samen met mij het hele traject meegemaakt,
zowel de frequente ups als de occasionele downs. Je bent er altijd voor mij
geweest. Samen met jou tijd doorbrengen is pure ontspanning en brengt me
altijd tot rust. Laat ons eerlijk zijn: had iedereen iemand zoals jou, kreeg ik
‘mijn’ stresscursussen zelfs aan de straatstenen niet kwijt. Ik hart je hard!
185
Curriculum vitae
Tom Van Daele obtained a Master of Science in Clinical and Health Psychology,
with a specialization in children and adolescents at the KU Leuven. During that
time he took an internship in a local organization for health consultation
(LOGO) and completed a master thesis on the effectiveness of a stress control
intervention. These experiences sparked his interest for research in primary
mental healthcare and in the field of (mental) health prevention and
promotion. More information can be found on www.vandaeletom.be.
Publication List
Articles in internationally reviewed scientific journals
Van Daele, T., Van Audenhove, C., Hermans, D., Van den Bergh, O., & Van
den Broucke, S. (2012). Empowerment implementation: Enhancing
fidelity and adaptation in a psychoeducational intervention. Health
Promotion International. Advance online publication.
doi: 10.1093/heapro/das070
Van Daele, T., Van den Bergh, O., Van Audenhove, C., Raes, F., & Hermans,
D. (2013). Reduced Memory Specificity Predicts the Acquisition of
Problem Solving Skills in Psychoeducation. Journal of Behavior Therapy
and Experimental Psychiatry, 44, 135-140.
doi: 10.1016/j.jbtep.2011.12.005
Van Daele, T., Hermans, D., Van Audenhove, C., & Van den Bergh, O.
(2012). Stress reduction through psychoeducation: a meta-analytic
review. Health Education & Behavior, 39, 474-485.
doi: 10.1177/1090198111419202
Curriculum vitae
186
Van Daele, T., Hermans, D., Vansteenwegen, D., Van Audenhove, C., & Van
den Bergh, O. (2010). Preventie van stress, angst en depressie door
psycho-educatie: een overzicht van interventies. Psychologie &
Gezondheid, 38, 224-235. doi: 10.1007/s12483-010-0390-5
Articles in other scientific journals
Van Daele, T. (2012). Computergestuurde zelfhulp een meerwaarde voor
hulpzoekende adolescenten met depressieve symptomen? [Does
computerized self help over advantages for help seeking adolescents with
depressive symptoms?]. Minerva: Tijdschrift voor Evidence-based Medicine,
11(10), 121-122.
Meeting abstracts, presented at international conferences and
symposia, published or not published in proceedings or journals
Van Daele, T., Van Audenhove, C., Vansteenwegen, D., Hermans, D., Van den
Bergh, O. (2013). Detecting depression in chronic ill patients by home nurses:
Effects of a minimal intervention. Paper presented at the 27th Annual
Conference of the European Health Psychology Society. Bordeaux, France,
16-20 July 2013.
Van Daele, T., Hermans, D., Vansteenwegen, D., Van Audenhove, C., & Van
den Bergh, O. (2012). Effectiveness of a Six Session Stress Reduction
Program for Groups. Poster presented at the 120th Annual Convention of
the American Psychological Association. Orlando, FL, USA, 2-5 August 2012.
Van Daele, T., Van Audenhove, C., Hermans, D., Van den Bergh, O., & Van den
Broucke, S. (2012). Towards a Participatory Approach To Implement a
Psychoeducational Intervention. Poster presented at the 120th Annual
Convention of the American Psychological Association. Orlando, FL, USA, 2-5
August 2012.
Curriculum vitae
187
Van Daele, T., Vansteenwegen, D., Luts, A., Hermans, D., & Van den Bergh, O.
(2012). Online intervention for depressive symptoms in chronic illness. Work
in progress. Poster presented at the First Meeting of the European Society
for Research on Internet Interventions. Lüneburg, Germany, 30-31 May
2012.
Van Daele, T., Van den Bergh, O., & Vansteenwegen, D. (2012). Happiness
coach: Preliminary results of an online intervention to increase mental
fitness. Poster presented at the First Meeting of the European Society for
Research on Internet Interventions. Lüneburg, Germany, 30-31 May 2012.
Van Daele, T., Hermans, D., Van Audenhove, C., & Van den Bergh, O. (2011).
Stress prevention through psychoeducation: a meta-analytic review. Paper
presented at the 25th European Health Psychology Conference. Crete,
Greece, 20-24 September 2011.
Van Daele, T., Hermans, D., Van Audenhove, C., & Van den Bergh, O. (2011).
Impact research of a psychoeducational course for stress management.
Poster presented at the 25th European Health Psychology Conference.
Crete, Greece, 20-24 September 2011.
Van Daele, T., Hermans, D., Van Audenhove, C., Van den Bergh, O. (2011).
Stress prevention through psychoeducation: A meta-analytic review.
International Conference of the European Network of Mental Health
Services. Ulm, Germany, June 2011.
Hermans, D., Vuerstaeck, S., Van Daele, T., & Raes, F. (2008).
Autobiographical memory specifity and the effects of a psycho-
educational programme for stress and anxiety. Paper presented at the 6th
Special Interest Meeting on Autobiographical Memory and
Psychopathology. Amsterdam, The Netherlands, January 2008.
Hermans, D., Ruys, K., Vuerstaeck, S., Van Daele, T., & Raes, F. (2007).
Autobiographical memory specificity and the effects of a psycho-educational
programme for stress and anxiety. Annual Convention of the Association for
Curriculum vitae
188
Advancement of Behavioral and Cognitive Therapies (AABCT). Philadelphia,
PA, USA, November 2007.
Meeting abstracts, presented at local conferences and symposia,
published or not published in proceedings or journals
Van Daele, T., Vansteenwegen, D., Hermans, D., Van Audenhove, C., & Van
den Bergh, O. (2012). Effectiviteit van een stressreductieprogramma in
groepsverband. Paper presented at the Zesde Vlaams Geestelijk
Gezondheidscongres ‘Macht en kracht. Zorgrelaties in verandering’.
Antwerpen, Belgium, 18-19 September 2012.
Van Daele, T., Van den Bergh, O., Hermans, D., & Van Audenhove, C. (2011).
Stress in Vlaanderen: perspectieven van psycho-educatie als
eerstelijnsinterventie. Paper presented at the Steunpunt WVG studiedag
‘Wel en Wee in Vlaanderen’. Leuven, Belgium, 28 October 2011.
Van Daele, T., Hermans, D., Van Audenhove, C., & Van den Bergh, O. (2011).
What is the participant profile in psychoeducational group interventions for
stress?. Poster presented at the Steunpunt WVG studiedag ‘Wel en Wee in
Vlaanderen’. Leuven, Belgium, 28 October 2011.
Van Daele, T., Hermans, D., Van Audenhove, C., & Van den Bergh, O. (2011).
STAP, Stress AanPakken. Poster presented at the Steunpunt WVG studiedag
‘Wel en Wee in Vlaanderen’. Leuven, Belgium, 28 October 2011.
Van Daele, T., Van den Bergh, O., Hermans, D., & Van Audenhove, C. (2010).
Proces-evaluatie van een proefimplementatie. STAP als praktijkvoorbeeld.
Paper presented at the Steunpunt WVG Studiedag ‘In-zicht’. Leuven,
Belgium, 2 December 2010.
Van Daele, T., Hermans, D., Van Audenhove, C., & Van den Bergh, O. (2010).
STAP, STress AanPakken. Een systematische meta-analytische review van
preventieve psycho-educatie bij stress. Poster presented at the Steunpunt
WVG Studiedag ‘In-zicht’. Leuven, Belgium, 2 December 2010.
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