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A BIODEVELOPMENTAL APPROACH TO CLINICAL CHILD
PSYCHOLOGY
COGNITIVE CONTROLS AND COGNITIVE CONTROL THERAPY
Sebastiano Santostefano
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e-Book 2016 International Psychotherapy Institute
All Rights Reserved
This e-book contains material protected under International and Federal Copyright Laws and Treaties. This e-
book is intended for personal use only. Any unauthorized reprint or use of this material is prohibited. No part o
this book may be used in any commercial manner without express permission of the author. Scholarly use of
quotations must have proper attribution to the published work. This work may not be deconstructed, reverse
engineered or reproduced in any other format.
Created in the United States of America
Copyright © 1978 by John Wiley & Sons, Inc.
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To my son Sebastian whose brilliant flight was tragically interrupted. And to my son Damon who flies on creatively and
courageously. For we are from him who was called "Paraceddu" — ''he soars like a bird."
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Table of Contents
PREFACE
ACKNOWLEDGMENTS
CLINICAL CHILD PSYCHOLOGY AND DEVELOPMENTAL PSYCHOLOGY:IS A PARTNERSHIP POSSIBLE?
THE BIODEVELOPMENTAL FRAMEWORK: CONCEPTS OF DEVELOPMENT FOR CLINICAL PRACTICE
DIAGNOSIS AND THE BIODEVELOPMENTAL FRAMEWORK: BEYOND NOSOLOGY
THE CONCEPT OF COGNITIVE CONTROLS
CONSTRUCT VALIDITY OF COGNITIVE CONTROLS IN CHILDREN
RELIABILITY AND CRITERION-RELATED VALIDITY OF COGNITIVE CONTROL TESTS FOR CHILDREN
THE DEVELOPMENT OF COGNITIVE CONTROLS
A DEVELOPMENTAL-ADAPTATIONAL MODEL OF COGNITIVE CONTROLS
CLINICAL STUDIES OF THE DEVELOPMENTAL-ADAPTATIONAL MODEL OF COGNITIVE CONTROLS
METHODS FOR ASSESSING COGNITIVE CONTROL FUNCTIONING IN CHILDREN: A MANUAL OF INSTRUCTIONS
COGNITIVE CONTROL THERAPY: INTRODUCTION AND RATIONALE
GENERAL TECHNIQUE IN COGNITIVE CONTROL THERAPY
COGNITIVE THERAPY WITH THE BODY EGO-TEMPO REGULATION COGNITIVE CONTROL
COGNITIVE THERAPY WITH THE FOCAL ATTENTION COGNITIVE CONTROL
COGNITIVE THERAPY WITH THE FIELD ARTICULATION COGNITIVE CONTROL
COGNITIVE THERAPY WITH THE LEVELING-SHARPENING COGNITIVE CONTROL
COGNITIVE THERAPY WITH THE EQUIVALENCE RANGE COGNITIVE CONTROL
RESEARCH STUDIES OF COGNITIVE CONTROL THERAPY
CONCLUDING REMARKS TO CLINICAL CHILD PSYCHOLOGISTS AND CHILD DEVELOPMENT RESEARCHERS
APPENDIX A
APPENDIX B
BIBLIOGRAPHY
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PREFACE
On May 12, 1955, the Department of Psychology of the University of Colorado convened a symposium that
addressed the problem of cognition. The sponsors believed that until that time, psychology in America “had slighted
what may be considered to be its ultimate purpose, the scientific understanding of man’s cognitive behavior.”
In the early years of the development of psychology as a science, cognition occupied the center of the stage. Why
did interest in cognition decline among both researchers and clinicians by the 1930s? One reason was the rise o
behaviorism with its “glorification of the skin,” as Fritz Heider noted. Another was the emphasis being placed by
contemporary psychoanalysis on unconscious motivation, drive, and psychic conflict.
To compensate for this slight the “Colorado Symposium” invited leading psychologists of the day to discuss
cognition. Several motifs emerged from the presentations and debates: (1) cognition is at the center of a person’s
adaptations to environments;(2) the environments to which a person adapts are essentially cognitive representations
or symbols; (3) underlying cognitive structures, dispositions, or codes make representations possible; that is, these
structures determine “which pictures, so to speak, the organism takes of a specific environment” (Bruner et al., 1957).
The sponsors of the symposium hoped that the published discussions would stimulate further theoretical
developments and observations, which would return cognition to its rightful position as the major lens through which
psychology studies and understands man.
It seems to me the Colorado Symposium has accomplished just that. Shortly before the symposium was held, the“New Look” in perception—a movement that was attempting to weave together perception, thought processes,
emotions, and needs—hung its newly fashioned garment in the shops of academic psychology, hoping that researchers
would try it on (Blake and Ramsey, 1951). A few years after the symposium, Jerome D. Frank (1962), addressing a
special conference of psychologists interested in psychotherapy, presented a paper entitled “The role of cognitions in
illness and healing.” Frank’s elegant clinical example from the treatment of an adult female patient illustrated, if only
with a glimpse, the value of viewing psychotherapy through the lens of cognition. At about the same time Robert R.
Holt (1964) informed psychoanalysts that cognitive psychology was emerging as a powerful point of view and urged
them to begin considering how this approach could affect their work and clinical concepts.
During the past 25 years, that tiny stream, first fed by the Colorado Symposium and the “New Look” in
perception, has grown into a mighty river of cognition with tributaries traveling into virtually all branches o
psychology, psychiatry, psychoanalysis, and special education. Although this river has grown and spread rapidly, there
is much to be done to channel and direct it, with dams, locks, and canals, so that clinicians and researchers can derive
benefit from its potential power and energy.
This book represents one such attempt. I have tried to integrate the power of cognitive psychology withbiodevelopmental principles, psychoanalytic concepts, and the child clinician’s need for new technology. This
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integration suggests to me that the concept of cognitive controls, as a guide to behavioral assessment and treatment, is
one main source of power that can be recovered from the river of cognition.
Yet although I present techniques to assess cognition and a treatment method I call “cognitive control therapy,”
my basic intention is to illustrate the value of looking at normal and pathological human behavior through the lens that
is formed by cognitive, developmental, and psychoanalytic principles and observations, placing the psychodynamic
concept of cognitive controls at the center.
What does an observer see when peering through this lens? He sees a person engaged in purposeful cognitive
activity—regulating body tempos, scanning, selecting, avoiding, remembering, organizing, conceptualizing— all
behaviors that shape and direct information, including feelings and needs, permitting the person to maintain an active,
purposeful, adaptive balance between information from external and internal stimulation.
From discussions with various professionals, I have learned that the preceding statement frequently does not
communicate my point of view. It is difficult for some to see anything at all when looking through the lens. Others see
nothing more than what they are accustomed to observing. When a psychodynamically oriented clinician observes a
person’s behavior through the lens proposed here, he frequently sees a galloping horse of motivation and drive, with
cognitive behavior a helpless rider. When a cognitively oriented researcher looks through the lens, he often perceives
a set of intersecting rectangles. Each observer fails to see what captures the other’s attention, and neither recognizes
that the behavior of the adapting person—the galloping drives and the intersecting rectangles—are in fact a single
entity.
The possibility that an observer is limited in registering the total view provided by the lens described here
relates to the very premise on which this book is based. What one sees is a function of the shape one’s cognitive
controls impose on information. We determine and cognitively control what we see and know. Another premise of this
book is that changing or restructuring the shape or control one imposes on information takes time and particular
stimulation. I hope that the book will serve as a source of stimulation for professionals interested in restructuring their
cognitive controls to provide an additional point of view capable of guiding innovation for practice and increasing the
clinical relevance of cognitive research.
That research should address questions “largely suggested by current clinical problems” was eloquently
proposed in 1889 by G. Stanley Hall, one of the founders of American Psychology (Santostefano, 1976a). A few years
later Shepherd Ivory Franz, the father of research for clinical practice, who was trained initially as an experimental
psychologist, launched a career devoted to the research of clinical problems and technique (Santostefano, 1976b). Yet
despite the integration of research and practice that is part of psychology’s heritage, these two endeavors became
segregated in the years that followed. Only recently have we heard pleas that echo Hall’s proposal.
I have been a practicing clinical psychologist for the past 20 years and a practicing psychoanalyst since 1970.
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Throughout this time I have also attempted to conduct formal studies suggested by clinical experiences. I agree with
Charles (1970) that “the helping attitude of the clinician does not always further the establishing of a sound theoretical
and empirical basis for a science of human psychological development.” But I also subscribe, as does Charles, to the
position Hall and Franz took at the turn of the century: that clinical practice must be the source of insights for formal
psychological research, and that research in turn must provide a scientific basis for practice. Yet those of us who have
attempted to be clinician and researcher simultaneously, “two-headed monsters,” know that the journey is difficult. At
any point along the way the canons of research or of practice become compromised. For this reason, researchers may
view some of the material in this book as “too clinical,” whereas to clinicians some material may appear to be “too
experimental.” Again these value judgments are based on the cognitive attitudes or controls of one or another camp. I
hope that readers from both camps accommodate into a common focus the lenses of research and practice when
surveying this project.
This book was prepared for an audience of child clinical psychologists. However I believe its contents could be of
use to clinical psychologists working with adults, to educators who have been influenced by the possibilities of
cognitive controls for educational practice (Lesser, 1971), and to psychiatrists and psychoanalysts who accept the
suggestion of Holt (1960) and Arieti (1965) that cognitive psychology provides a new door to innovation in practice.
Certainly I hope that this project will be a source of stimulation to child researchers who, though removed from clinical
application, are following in Franz’s footsteps.
I recognize that each reader will find certain sections of this book of more use than others. Ideally, however, thechapters should be experienced in sequence, as developmental stages, with each chapter elaborating issues discussed
previously and preparing the reader for issues discussed in the next. Part I discusses the reasons for the segregation of
child development research and practice and the consequences of this segregation. The same issues raised in this
historical analysis of child psychology, I believe, could apply to the fields of psychiatry, education, and psychoanalysis.
Following the historical analysis, a treatment plan is proposed—the construction of a single conceptual scaffold called
the biodevelopmental framework —which is then used as a roadmap to guide technical and conceptual innovation.
Part II describes the biodevelopmental framework and relates it to psychological diagnosis. In Part III thetreatment plan is implemented. The concept of cognitive controls, originally formulated by George Klein, is discussed
and elaborated to include issues of development and adaptation. Studies are reported that support the validity of the
construct and the reliability and validity of the methods devised to assess cognitive controls in children. Then, guided
by the biodevelopmental roadmap, the subsequent chapters take us to observations of the developmental course of
cognitive controls and to the role played by cognitive controls in long-term and short-term adaptation. These chapters
state and gradually elaborate a hypothesis that describes cognitive activity as central in balancing information, affects,
and needs, in normal and pathological functioning and adaptation.
Part IV uses the biodevelopmental framework and the various reported observations of cognitive controls in
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development and adaptation as a guide to shape a psychological treatment method, “cognitive control therapy.” This
method relies on psychoanalytic and developmental concepts and was designed explicitly to restructure cognitive
controls in children whenever the organization of these controls serves to maintain a balance of information and
affects that is growth restricting and maladaptive. The cognitive control therapy programs devised and research
conducted to explore their utility are presented in Parts V and VI.
To paraphrase Thomas Wolf and Sigmund Freud, a person is the sum of all moments of his life; all that is in him
is in them. In developing the thinking and work reported in this book I have benefited in particular from moments
spent with several individuals, and I express my gratitude to them. When in my first faculty appointment, at the
University of Colorado Medical Center, John Conger demonstrated the value of integrating the spirit of psychological
research and clinical practice. The late Harold Keely, a brilliant child clinical psychologist, revealed the excitement and
gratification inherent in the struggle of clinical practice. Gaston Blum and the late John Benjamin introduced me to the
scope of psychoanalytic-developmental principles.
I then joined the faculty of Clark University, the home of Heinz Weiner. There I learned a great deal about
organismic-developmental psychology and research from Donald Krus, Bernard Kaplan, Joachim Wohlwill, and
Seymour Wapner. At the same time I continued my commitment to clinical child psychology and launched my training
in psychoanalysis. Here I am indebted to James Mann, who skillfully helped me live psychoanalysis and thereby come
to learn the power of psychoanalytic technique and concepts, and to Bernard Rosenblatt, a developmental
psychologist and psychoanalyst. I next joined the faculty of Boston University School of Medicine, and there I derivedmuch benefit from my discussions with Louis Sander and Gerald Stechler, both developmentalists, researchers, and
psychoanalysts.
Many thanks are due to colleagues and students who helped me with the studies described here. I owe special
gratitude to Steven Berk and Robert Brooks, who assisted me in conducting the longitudinal studies of cognitive
controls and who have applied cognitive control therapy in the treatment room, joining me in the task of refining and
testing the method.
The secretarial and administrative assistance provided by Joan Barber and Frances MacNeil has been invaluable.
To them my warmest appreciation. My wife Joan provided continuous encouragement, unselfishly accepted the
commitment of time and energy required of me to complete this project, and gave helpful suggestions from her
perspective as clinical educator and media specialist.
Last, I thank Francis de Marneffe, Director, McLean Hospital, Belmont, Massachusetts, Shervert Frazier,
Psychiatrist-in-Chief, McLean Hospital, and Silvio J. Onesti, Director McLean Hall-Mercer Children’s Center where the
final stages of this project were completed.
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Sebastiano Santostefano
Belmont, Massachusetts
August 1978
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ACKNOWLEDGMENTS
Permission to use the following selections is gratefully acknowledged.
Chapter 2: Based on the chapter entitled “The Contribution of Developmental Psychology,” in Manual of Child
Psychology by Benjamin Wolman. Copyright © 1972 by McGraw-Hill, Inc. Used with permission of the publishers.
Chapter 2: Quotations by George Klein in “Peremptory Ideation: Structure and Force in Motivation,” first
published in Motives and Thought: Psychoanalytic Essays in Honor of David Rapaport, R. R. Holt (Ed.), International
Universities Press, 1967.
Chapter 3: Adapted by permission from chapter in Herbert E. Rie (Ed.), Perspectives in Child Psychopathology,
Aldine Publishing Company, Chicago. Copyright © 1971 by Aldine-Atherton, Inc.
Chapter 4: Based on “Cognitive Controls vs. Cognitive Styles: An Approach to Diagnosing and Treating Cognitive
Disabilities in Children,” which first appeared in Seminars in Psychiatry, 1969.
Chapter 6: “Academic success of children from different social class and cultural groups,” a thesis by Carla
Garrity, 1972, is reported extensively.
Chapter 18: “Training the pre-school retarded child in focal attention: A program for parents” is reprinted as
part of this chapter, with permission from the American Journal of Orthopsychiatry. Copyright © 1967 by the American
Orthopsychiatric Association, Inc.
Chapters 1, 2, 12, 18, 19: The following articles published in the McLean Hospital Journal appear, in part, within
the chapters noted:
“On the relation between research and practice in psychiatry and psychology: The laboratory of the McLean
Hospital, 1889,” 1976.
“Principles of infant development as a guide in the psychotherapeutic treatment of borderline and psychotic
children,” 1976.
“New views of motivation and cognition in psychoanalytic theory: The horse (id) and rider (ego) revisited,” 1977.
Chapter 9: “Cognitive controls and adaptation in children,” a thesis by Faye I. Shapiro, 1972, is reported
extensively.
Chapter 9: “Changes in cognitive functioning under stress: A study of plasticity in cognitive controls,” by Gerald
Guthrie, 1967, is reported extensively.
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Part 1
ON THE INTEGRATION AND SEGREGATION OF DEVELOPMENTAL
THEORY, RESEARCH, AND CLINICAL PRACTICE: HISTORICAL
CONSIDERATIONS
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1
CLINICAL CHILD PSYCHOLOGY AND DEVELOPMENTAL PSYCHOLOGY:
IS A PARTNERSHIP POSSIBLE?
The 1970s have brought increasing pressure on investigators from practicing psychologists, as well as from
various social and political groups, to give priority to research problems concerning human welfare and to find
applications of research knowledge, so carefully gathered over the past five decades, in techniques of clinical practice.
The field of child development research has not been free of this pressure. Leon Yarrow (1973), a prominent
researcher, recently expressed the following view in a report concerning the interface of child development research
and application:
. . . not too many years ago there was a halo around pure science. Among the most revered members of our society were
the scientists who carried on their esoteric activities in ivory towers. They were dispassionate men and women, aloof
from society and its bothersome and inconsistent demands. They were given laboratories, research support and
inordinate respect, with no immediate returns expected of them. ... At the present time there seems to be a growing
disenchantment with pure science. The relevance of basic research is being questioned. . . .
Why have child development research laboratories produced so few studies offering relevance to clinical child
psychologists working in private practice, in various institutional settings, clinics, schools, and residential centers?
Why is it so difficult for clinicians to establish relevance between much child development research reported and the
questions and problems they are asked to handle by society?
To convey some sense of how the clinician experiences this segregation of laboratory research from clinical
practice, the reader is asked (albeit with tongue in cheek) to imagine adjacent rooms, separated by a two-way-vision
mirror. One room represents a clinician’s office, and the other a researcher’s laboratory. The clinician is standing by
the mirror, looking into the laboratory where an experiment is being conducted. On one wall he notices a row of
portraits of persons who are obviously venerated: Wundt, Watson, Hull, Skinner, and others. All, however, is not
serious and reverent. Touches of humor can be seen, for example, in abstract paintings depicting a critical flicker
frequency and a goal gradient. Set off conspicuously in one corner of the lab is a Skinner box, sculpted in bronze. On a
bookshelf are reproductions of once famous pieces of research equipment, such as Zwaardemaker’s original
olfactometer. Among these museum pieces, the clinician notices a wax reproduction of Galton’s whistle, apparently
displayed as concrete evidence that the researcher is aware of, tolerates, and even accepts the existence of a clinical
world. The clinician’s attention is suddenly brought back to the researcher, who is bursting with excitement. The last
college student subject, who had been performing nicely according to instructions, has been released from the
experimental room, and the researcher is loudly proclaiming the outcome of the experiment. The clinician presses hisear against the glass. The researcher has found, the clinician hears, that anxious subjects pressed a lever significantly
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faster than non-anxious ones to escape from or turn off a 70-decibel tone. But, the researcher continues with the
excitement of one who has just made a discovery, when a 95-decibel tone was sounded, the nonanxious subjects
pressed the lever faster.
As the researcher rushes to prepare the data for publication, the clinician, disappointed and frustrated, slowly
returns to his desk. He puzzles over what he has just observed. He knows that experiments are ways of asking and
exploring questions, to learn what nature cannot tell us systematically, directly, and spontaneously. But he wonders,
should not the questions asked make some difference to the practitioner? Casually he picks up a recent journal and
begins browsing. He notices one researcher found that persuasibility and self-esteem are inversely related in the
children studied; in another article the authors conclude that reserpine affected afterimages in a direction opposite to
that of chlorpromazine, whereas chlorpromazine affected flicker fusion and tapping speed in a direction opposite to
dextroamphetamine sulfate. The clinician ponders, there must be some inner meaning that he just is not catching.
A buzzer announcing the arrival of the next patient shakes the clinician back to the reality of his office. He greets
a shy, frightened 7 year old. The clinician’s mood of frustration quickly slips away as he attempts to establish with the
child an allied, working relationship through which he hopes to collect his observations. When the clinician takes out
his pictures and inkblots, he hears, he thinks, the snickering of the researcher who is now watching through the
screen. The clinician becomes embarrassed and annoyed but tries to push on. Tomorrow he must report to the school
and family his understanding of the problem presented and what could be done to relieve the child of his suffering.
The recently revised Carmichael’s Manual of Child Psychology (Mussen, 1970), which can be taken as the major
statement of the content and questions that occupy child researchers, reflects this sense that practice and research are
different worlds, each viewing the other as alien, and indicates the paucity of meaningful connections between the
two. As Mussen points out in his preface to the two-volume compendium, since the previous 1954 revision of the
Manual, although developmental researchers have turned more of their attention to applied problems, advances in
application offered by developmental research are modest relative to “the knowledge explosion” that has been
observed. It is interesting to note that only three of the 29 chapters of the 1970 revision of the Manual are devoted
exclusively to psychopathology in childhood, with some studies bearing relevance for clinical practice sprinkled withina few of the remaining chapters. Moreover, the three chapters appear last in the two-volume series—a detail that most
dynamically oriented clinicians would interpret as a form of avoidance and rejection. It is as if child development is
considered in the first 26 chapters; then applied problems are treated in chapters on “mental retardation,” “behavior
disorders,” and “childhood psychosis.” Not only do these three topics leave out much that concerns the practitioner,
but they stand alone, outside child development. The first 26 chapters consider various areas of child development
without psychopathology and practical issues as the focus, and the last three chapters deal with aspects of child
psychopathology without developmental principles as the focus.
Why do child development research and clinical child psychology live and work in segregated worlds for the
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most part, with each experiencing the other as alien? Since the present functioning of a profession, like that of a
person, can be understood in terms of past experiences and influences, a brief examination of the historical
antecedents of each discipline may give us some insight into this question. An understanding of the ideological
heritage and past identifications of each may help us understand the self concepts and ideologies that guide current
functioning and in turn may suggest a treatment plan capable of achieving more integration between child research
and practice.
THE HERITAGE AND DEVELOPMENT OF CLINICAL CHILD PSYCHOLOGY
If we turn first to clinical child psychology, we find conflicting accounts in the literature of the origin and history
of this specialty. Part of the confusion appears to have come about because the emergence of clinical child psychology
is interpreted by some writers (e.g., Wallin, 1958; Watson, 1953) to be a phase of the development of general clinical
psychology, a phase that is all too readily homogenized with other so-called origins of clinical psychology such as the
“psychology clinic movement” and the “psychometric tradition.” This confusion is also reflected in Ross’s (1959) text
discussing the profession and techniques of clinical child psychology. In sketching the history of this specialty, he
proposes that its two parents were child academic psychology and general clinical psychology.
Contrary to this view, it is my opinion, based on the available literature, that the specialty of clinical child
psychology had its inception in a development that was geographically and ideologically quite outside the mainstream
of general clinical and academic psychology (Charles, 1970; Levy, 1952; Watson, 1953; Wallin, 1958; Senn, 1946).
General clinical psychology is usually viewed as beginning with the establishing of Witmer’s psychological laboratory
in 1896. Several similar psychological laboratories soon followed in universities or hospitals (e.g., Seashore’s at the
University of Iowa, Wallin’s in Pittsburgh, and Franz’s at McLean Hospital). The primary focus of these clinics, as
Watson (1953) pointed out, was the assessment of aspects of physical and intellectual functioning; the clinics mainly
handled referrals of mental deficiency or school retardation and played little or no role in treatment. In spite of later
events such as the founding of the Association of Consulting Psychologists, and the efforts of individuals such as
Seashore and Goldstein to establish greater rapprochement between psychology and psychiatry, one early writer
(Louttit, 1939) concluded that clinical psychology in the 1920s and 1930s “generally speaking is not greatly interested
in practical problems of human behavior.” A later writer proposed (Watson, 1953) that after World War II the
emphasis in clinical psychology has been clinical practice, but primarily with adult patients.
In sharp contrast, clinical child psychology, with child psychiatry as its twin, had its inception in 1909 in the
home of the child guidance movement, when William Healy, a psychiatrist, opened the Juvenile Psychopathic Institute,
in Chicago. To appreciate fully the effects of this beginning, it is important to examine in some detail the setting in
which the specialty began. As we shall see, the unique circumstances that existed during the formative years imprinted
on clinical child psychology particular characteristics that have become indelible hallmarks of the field.
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First, when Dr. Healy established this clinic for children his clinical method differed quite radically from that o
his contemporaries in terms of the working relationships that developed between him and his staff, a psychologist and
a social worker. Though officially the psychiatrist was the head of this project, the psychologist and the social worker
contributed professional diagnostic knowledge with equal status. By way of contrast, the several psychologists already
employed in the hospital or university laboratories established by Franz and Wallin outside this movement performed
their services primarily independently, usually submitting their data (which were mostly neurological) to be reviewed
and used by the psychiatrist as he chose.
Other elements unique to the origin of clinical child psychology are contained in this interdisciplinary
collaboration that developed in Flealy’s setting. The team jointly approached the clinical problem of delinquency by
means of the child guidance method, a method predicated on the conviction that antisocial behavior was treatable
with psychological means. The goal guiding the work of all three disciplines was to assist the child to adjust to the life
field in which he lived. Therefore the initial focus was on psychological treatment and adaptation. In accomplishing
this goal, the concepts of “total personality” and “multiple causation” were employed. Sources of information and other
professional contacts, in addition to contemporary contact with the patient, were vigorously utilized. Dynamic case
histories were obtained of physical and social factors in the child’s development, as well as information about attitudes
and relationships of members of the immediate family, other relatives, peers, and other significant individuals. To this
history was added the psychologist’s evaluation, at first with performance tests and later with projective tests, and
also the psychiatrist’s interview material. These data were then reviewed and integrated at a diagnostic staff
conference, sometimes with teachers, ministers, and family doctors invited, and recommendations were formulated.
Eventually such recommendations solicited the assistance of various family and community agencies. This work was
community oriented, and the emphasis was preventive.
From the start, then, child clinical psychology developed and worked collaboratively with social work and child
psychiatry within a professional, geographical, and conceptual setting that was very much oriented in terms of the
community, treatment, and prevention, since it dealt at first with the disorder of delinquency and gradually with other
clinical and social mental health problems presented by children of all ages.
What became of clinical child psychology after this beginning? When Dr. Healy first opened his clinic, he hired as
his psychologist and co-worker Dr. Grace Fernald. She was replaced in a short while by Dr. Augusta Bronner. Perhaps
the beginning of clinical child psychology is represented metaphorically in the fact that Drs. Healy and Bronner were
soon married. One of the first productions of this marriage was a psychological test, the Healy form board—and
clinical child psychology was on its way.
In 1917 Healy and Bronner left the Juvenile Psychopathic Institute to organize a clinic in Boston that eventually
became the Judge Baker Guidance Center. This clinic was enormously successful from the start and had considerableinfluence on the development of other clinics that soon followed. At the turn of 1920, the National Committee for
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Mental Hygiene established demonstration clinics in a variety of cities and rural areas. Called for the first time “child
guidance clinics,” these organizations were set up deliberately to collaborate with various other agencies such as
university teaching hospitals, courts, and local charities. The professional staff of these clinics included a psychiatrist, a
psychologist, and a social worker. As the clinics flourished during the 1920s and 1930s, a gradual shift in focus
occurred. No longer was the delinquent of primary interest, as at the first clinic in Chicago, nor was major effort
devoted to mental defectives or neurological cases, as in psychology laboratories outside the child guidance
movement. Instead, increasing attention was given to personality disorders in children whose difficulties appeared to
have emotional roots.
It was during this period that the child guidance movement first represented itself organizationally with the
founding, in 1924, of the American Orthopsychiatric Association. Its first president was William Healy, and a few years
later the first psychologist to be president was his wife, Augusta Bronner. Thus clinical child psychology continued to
find its identity in organizational relationships with child psychiatry and social work. Also, as child psychiatry and
pediatrics found a meeting ground in providing training and service, clinical child psychology was naturally drawn
into this collaboration.
As the child guidance movement grew, the need for professional and training standards became apparent.
During the 1940s the National Committee for Mental Hygiene organized meetings of child clinic directors to which
social workers and psychologists were soon included for the specific task of defining standards of training and
practice. At one of these meetings it was decided to create the American Association of Psychiatric Clinics for Children(now called American Association of Psychiatric Services for Children, AAPSC). It is significant that this first formal
recognition of the specialty of clinical child psychology did not occur within the context of the American Psychological
Association; rather, it took place in organizational developments quite apart from the mainstream of either general or
clinical psychology. It was not until 1965 that Section I (Clinical Child Psychology) of Division 12 of the American
Psychological Association was established, giving the specialty of clinical child psychology formal recognition in the
parent psychological association.
From the 1920s to the 1950s, while elaborating diagnostic and treatment activities in the growing number of child guidance clinics and establishing professional identity in medically related organizations, the specialty of clinical
child psychology (along with psychiatry and social work) vigorously embraced as a working model the psychoanalytic
framework of Sigmund Freud and the later elaborations of psychoanalytic ego psychologists such as Heinz Hartmann,
Anna Freud, Erik Erikson, and David Rapaport.
As Bronfenbrenner (1963) cogently points out, the model one uses, with its explicit concepts and hypothesis, to
guide professional work is but a small portion of the iceberg above the water. “Beneath is a mass of often unrecognized
assumptions and modes of thought which reflect the scientific ethos about the kinds of questions that should be asked,how problems are to be formulated, and what strategies are best employed in pursuit of an answer” (p. 517). The
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model one assimilates and uses, then, is a major source of professional identification and exerts profound influences
on how one views and conducts professional work. Therefore let us pause to examine the psychoanalytic model that
clinical child psychology embraced, with its explicit concepts above the water and its mass of assumptions and modes
of approaching behavior below. Such an examination is critical to our interest in the segregation between the
practitioner and research.
Following Reese and Overton’s (1970) articulate analysis of models of development, the psychoanalytic model
qualifies as an organismic model that accepts the metaphor of man as an active organism. That is, the individual is
represented as inherently and spontaneously active rather than as a collection of acts initiated by external forces. The
individual is the source of his own actions, thoughts, and wishes. Another hallmark of this model is its view of man as
an organized whole, a configuration of parts and functions, each one deriving its meaning from the whole in which it is
embedded. Because of these two basic assumptions, the fundamental mode for analyzing (measuring) and
understanding behavior within the organismic model concerns the form of behavior. From this point of view, the
concepts of psychological structures and functions and alternative means and ends are accepted as given rather than
taken as behaviors to be inferred. Questions are asked and methods used that uncover principles of organizations of
behavior and of the relation between parts and wholes, rather than questions concerning how these structures were
derived from elementary processes such as conditioned reflexes.
Change is also accepted as given, and as qualitative as well as quantitative. The active organism model represents
man as a system in which the basic configuration of behavioral parts changes, as well as the parts themselves. As eachnew level of psychological organization is achieved, the total takes on new behavioral properties that cannot be
reduced to those of lower levels and therefore are qualitatively different from them. While accepting the existence of
an external reality, this model further assumes that the individual, on the basis of his inherent activity and the
changing, evolving organizations of his behaviors, actively participates in the construction of the known reality. The
individual can know the world only through the structures that mediate his behavior and through the interaction
between these and things-in-themselves.
As Reese and Overton (1970) point out, the worker who follows the active organism model favors varioustheories and techniques and rejects others. The worker emphasizes the importance of behavioral process over
achievements or behavioral responses. Behaviors are used to denote psychological structures. Changes in
psychological structures are viewed as changes in levels of organization or stages, and these changes are accepted as
the basic core and content of development. Experience is seen as important in terms of its facilitating or inhibiting the
course of these structural changes. In analyzing or measuring behavior, emphasis is given to describing the structures
that characterize a given stage, the relation of these structures to functions, the sequence of these stages, the rules that
govern a transition from one stage to another, and the treatment conditions that facilitate or inhibit structural change.
It is important to note the philosophical roots of the organismic model. It began with Leibnitz, who maintained
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that the fundamental nature of the mind was found in its activity and in its consisting of a whole composed of forces.
This position was elaborated by Kant, Hegel, and the “act” psychology of Brentano; it is represented currently in the
theories of Freud, especially in psychoanalytic ego psychology, and of von Bertalanffy, Werner, and Piaget.
If we now view clinical child psychology in relation to the historical antecedents just summarized, we can
articulate the life history unique to this specialty. Over the years, clinical child psychology has performed in close
collaboration with psychiatry and pediatrics in various clinics and treatment centers for children that have long been
oriented in terms of the community, treatment, and the “team approach”; it has employed the organismic model of
man to shape questions and methods to answer them, and it has identified itself professionally in organizations such
as the AAPSC and the American Orthopsychiatric Association, and only more recently in the American Psychological
Association.
THE HERITAGE AND DEVELOPMENT OF CHILD DEVELOPMENT RESEARCH
The field of child development research sailed a very different course. It began as a specialty in the descriptive
and theoretical accounts of the development of children written in the late 1890s by leading psychologists based
primarily in universities for example, G. S. Hall and J. M. Baldwin (Dennis, 1949; Baldwin, 1960; Charles, 1970). A
major shift in the interests of these investigators took place a few years later with the introduction in 1903 of Binet’s
work with mental testing. For the next two decades developmental researchers were almost totally occupied with the
ages at which various test items were passed and failed by children and with the construction of mental growth curves
based on the notion of “percent passing.” This interest and method laid the ground for the point of view that
psychological growth could be described in much the same way that weight and height curves describe the physical
growth of children.
Developmental researchers gave this perspective more prominence in content they chose to observe and in
methods they employed during the next two decades (1920-1940), when the course of child development research
took another sharp turn. Dominating the field in this phase were a number of longitudinal growth studies (e.g., at the
Fels Institute, the Child Research Council at Denver, the Merrill-Palmer Institute, the University of California). Because
these long-range studies were designed to chart the physical and physiological, as well as psychological growth of
children, the field became more closely linked to biological sciences, departing from the mainstream of psychology,
which at that time was turning toward the study of learning as the core problem. The Zeitgeist of research with
learning, along with growing ties to biological sciences, may have influenced some developmental researchers during
this phase to prefer rats as subjects over the too-complex child (Yarrow, 1973).
It was not until the 1940s that child development research turned away from biological growth studies and
found its way back into the field of psychology with its interest in studies of various early experiences such as
weaning, toilet training, and maternal absence. This new phase in the historical course of child development research
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was ushered in by the influence of Freud’s psychoanalytic hypotheses and clinical reports that were receiving
considerable attention in the United States during World War II (Bronfenbrenner, 1963).
For our purpose it is important to note that when developmental researchers reentered the mainstream of
psychology and directed their attention to the influences of childhood experience on psychological growth, they
embraced learning theories prevailing at the time. Accordingly, studies were typically conducted by translating
Freudian concepts into the concepts and observational methods of learning theory. As a result, the research was often
so oversimplified, and the methods so ill-suited to capturing the phenomenon, that many psychoanalytically oriented
clinicians and investigators could not accept this work as providing valid tests of the propositions in question.
Moreover, as Baldwin (1960) points out, the investigations conducted by child researchers at this time gradually
became less tied to a common set of theoretical hypotheses or framework that rendered the observations compatible,
and focused more exclusively on topics of childhood treated in isolation. This is reflected, for example, by a book
reviewing child psychology research (Stevenson, 1963) in which the material is organized around topics such as
learning, thinking, moral development, dependence-independence, aggression, achievement, and anxiety, with no
common framework relating studies within one topic, or of one topic with those of another.
The professional identity of the field of child development research gradually evolved from the early descriptive
accounts of individual children, to the biological growth studies, to the focus on the influence of childhood experiences.
The geography in which a discipline grows contributes to its identity, and the work setting throughout this 50-year
period was, for the most part, the university. The workers were university professors and their graduate studentswhose pursuit of knowledge was influenced, in part, by the emphasis given in academic settings to the publication of
research findings and by the availability of subjects for study in the university community.
Professional organizations contribute to the professional identity of a group, as well as reflect it. In 1920, when
the field of child development was dominated by biological growth studies and the scientists conducting them, the
Committee on Child Development of the National Academy of Sciences-National Research Council was established. One
of its first actions was the formation of the Society for Research in Child Development (SRCD), which has continued to
be the major organization representing the field of child development research. Later the division of DevelopmentalPsychology (Division 7) was established within the American Psychological Association. In terms of our interest in the
interface between the specialties of child research and practice, it is useful to note that the ethos of the National
Committee with its society of researchers suggested that research and practice were viewed as segregated. For
example, in 1960 members of the committee recognized the need for a handbook of facts and principles of child
development, which would be of use to both researchers and practitioners in the biological and behavioral sciences.
Yet in organizing a handbook, the policy was established that contributions would be limited to research use o
methods, as opposed to diagnostic or therapeutic applications (Mussen, 1960). Accordingly, the contributions in the
handbook, including those concerning personality development, were by university-based researchers; the
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practitioner was conspicuously absent. This segregating of research and practice in the world of child development
research is also suggested by the child psychology handbook (Stevenson, 1963) sponsored by the National Society for
the Study of Education. Again, the editor noted that the planning committee was interested in including discussions o
the practical application of knowledge, yet the contributors were university-based researchers. Thus in spite of
expressed interest in the application of knowledge of child development, researchers remained set apart in their
professional organizations and university work settings from the settings and organizations concerned with clinical
practice.
For about a decade in the 1940s the field of child research moved closer to clinical practice than at any other
time in its history, with the major research interest in psychoanalytic hypotheses and the influence of early childhood
experiences. But this romance between child development research and clinical practice was short-lived, fading by
1960. What direction has the field of child research taken in the years between 1960 and the mid-1970s? As
Bronfenbrenner (1963) illustrates, the historical course of the specialty of child development research is revealed by
the content and organization of the research handbooks and manuals that appear every decade or so. An examination
of recent handbooks indicates that new features have emerged in the field (Mussen, 1970; Goslin, 1969; Hoffman and
Hoffman, 1966, 1964). Although it has put away its psychoanalytic lens, the field of child research has maintained an
interest in childhood experiences and personality development while adding two major domains of inquiry. One
concerns the behavior and experiences of infants. Infancy has always captured the attention of child research, but over
the past 15 years there has been a surge of interest in the newborn (Mussen, 1970). Another concerns cognitive
behaviors and development.
It is my opinion that the latter area has moved into first place as the topic of interest among child researchers
since 1960. For example, nearly half of the 29 chapters in the most recent Carmichael's Manual of Child Psychology
(Mussen, 1970) are devoted to cognitive development. The explosion of interest in Piaget’s theory of mental
development among child researchers appears to be a major factor in the popularity of cognition as a topic of study in
both infants and children. Related is the observation that during the 1970s Child Development has devoted
considerable space to studies related in some way to Piaget’s theory.
What model of man has the field of child research embraced from the studies of early childhood experiences of
the 1940s to the current emphasis on cognitive as well as personality development? An examination of the work in
child research suggests that two conceptual models have been used in the past 15 years as lenses through which the
subject matter is viewed, questions shaped, and methods constructed. Piaget’s stage theory of mental development
appears to be a major framework chosen to approach the study of learning and cognition (exceptions exist in work
concerned with cognitive styles). Being an example of an organismic model of man (Reese and Overton, 1970) Piaget’s
theory has much in common, as a basic point of view, with that of the practitioners discussed earlier. Learning theory,
with its more recent elaborations of concepts concerning social learning has remained the major framework used in
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child research since the 1940s to study personality development as well as to study learning and the development of
cognition. [Exceptions exist in Kohlberg’s (1964) work concerning moral development.] But learning theory is an
example of a mechanistic model of man that is antithetical to the organismic model. Let us pause at this point to
examine the mechanistic model as articulated by Reese and Overton (1970).
A mechanistic model accepts the metaphor of man as a reactive, passive organism or machine, inherently at rest.
Activity (whether thinking, wishing, wanting, or perceiving) results from external or peripheral forces. When these
forces (stimuli) are applied, the person or machine operates, and the result is a discrete, chainlike sequence of events.
Given this, we see that the model assumes that in principle, complete prediction is possible. Knowledge about the
person-machine at one point in time allows one to infer how the person-machine would operate at another point in
time, given knowledge of the forces to be applied. A related characteristic of the mechanistic model is that
quantification is recorded a central position, as are functional equations that describe the relationships between the
pieces of the person-machine in their operation. Change in the behavior of this person-machine does not result from
change in the structure of the organism itself. The individual may reveal qualitatively different operations, but these
are reducible to quantitative changes that emphasize the history and level or kind of stimulation presented by outside
forces. In terms of the person’s knowledge of his environment, the mechanistic model holds that the knower plays no
active role in the known (the model of naive realism) and eventually apprehends the environment in a predetermined
way.
The history of the model stems from John Locke, who proposed his famous dictum of man as a blank slate onwhich experience is written. From this point the empiricist movement, first in philosophy and then in psychology,
found its way from Berkeley to Hume to Mills to twentieth century behaviorism of Watson and later learning theory.
As Reese and Overton (1970) state, even the recent advances in behaviorism maintain the mechanistic model of man
and his development. Moreover, they also effectively argue that the mechanistic model cannot be synthesized with the
organismic, nor can the two intersect, because of their fundamentally different philosophical presuppositions
concerning the nature of man and his development.
If we now view the field of child development research in relation to these historical antecedents, we canarticulate the life history unique to this specialty. From the early descriptive writings of child development to the
mental test movement, biological growth studies, studies of childhood experiences, and the recent added interest in
infancy and cognition, child development research has performed within and under the ethos peculiar to university
settings, with their interest in knowledge for the sake of knowledge. Moreover, child development research has
identified itself in professional organizations dominated by university-based scientists, and after a period of close
relationships with biological sciences it has embraced two antithetical models of man, the organismic and the
mechanistic, which are used interchangeably to approach the study of cognition and personality development.
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IDENTITIES AND POINTS OF VIEW OF CLINICAL CHILD PSYCHOLOGY AND CHILD DEVELOPMENT RESEARCH
With a comparative historical sketch of child development research and clinical child psychology before us, we
can study more closely the question raised at the start concerning the segregation and alienation between the two
fields, by inferring the professional identities and points of view unique to each.
The history of child development research suggests the following identity characteristics and philosophical
assumptions which have relevance for the plight of the clinician.[1]
1. Except for relatively recent interest in stage theories of cognition, the researcher is guided mainly by the
mechanistic model of man and accordingly shows a preference for social-learning theory. Beneath the
iceberg of the explicit concepts of social-learning theory lie many assumptions and values that derive
from the mechanistic model and influence what the researcher looks at, the questions he asks, and
the methods used to answer them.
2. There is the ambition to build a psychology in the image of the physical sciences. This has resulted in a
preference for studying relatively isolated, unitary psychological processes in the most consistent
situations that can be arranged, with the most controllable subjects that can be obtained. The precise,
single-variable experiment is often preferred, sometimes even at the cost of relevance.
3. The researcher presumes that he exercises significant control over his subject and experimental conditions
and accordingly determines what the subject knows and experiences and the behaviors determined
by the external experimental forces. Minimized or denied is the notion that a child may introduce
feelings, interpretations, or fantasies that shape what he knows and experiences within the
experimental situation.
4. The measurement of behavior and the statistical prediction of behavior are highly valued.
5. The reification of measurement sometimes leads to an interest in and preoccupation with instrumentation
and gadgetry which, from the clinician’s view, approaches fetishism.
6. Because of the value given to controlled experimentation and precise measurement, researchers are averse
to using fantasies, wishes, and feelings as content for study.
7. In terms of professionalism, because child development research has resided since 1900 principally in the
university setting, research as an activity has become a source of prestige; it is an end in itself, and
various motives in addition to scientific curiosity guide the content and direction of a study: the
desire to meet the requirements of a Ph.D., therefore the special interests of thesis advisors; the
desires to be in print, to win a promotion, to gain acclaim in academic circles. The latter motive on
occasion produces a bandwagon effect, with researchers following a concept or laboratory method,
sometimes regardless of its relevance for the population used or the questions being pursued. As
Bronfenbrenner (1951) has noted, knowledge does not progress by differences significant at the .05
level, but academic achievement does.
From the clinician’s point of view, the professional identity of the researcher may be reflected, albeit emotionally,
by a statement Henry Murray made (1960). Watson, Murray noted, came along with his behaviorism, modeled after
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Pavlov and, “with this sword he murdered, on his right, the meandering introspections of Tichner, and on his left the
nativistic drive theory of McDougall; ever since that triumph, Watsonian behaviorism has constituted the fixed image
of American psychology—shallow, mechanistic, Philistine, soulless in the minds of a large number of Continental
thinkers.”
On the other hand, the clinical child psychologist, with his roots in the child guidance movement and in the
organismic model of man as reflected in psychoanalytic theory, has developed a very different self-concept and mode
of professional functioning.
1. He has the ambition to build his profession in the image of medicine in general and psychiatry in particular.
The clinician’s security comes in large measure from his reputation and skill as a healer and as
someone who is proficient in the art of relating with others, especially patients. Other sources of
security are the fees or salary he is able to collect as a result of his reputation, the recognition that
society will afford him (especially if communicated in certification or licensing laws), and the
notoriety he attains among his patients.
2. Unlike the researcher, whose interest lies in single-variable, highly controlled situations, the clinician must
view simultaneously many different aspects of personality functioning. He is interested in a detailed
history of a person’s experiences, of current and past perceptions, attitudes, needs, and feelings in
awareness as well as those repressed. The clinician is likely to be a glutton for many and different
pieces of data (usually more than he uses), whether these be precisely measured or lacking clear
operational definitions and only inferred. In general, the clinician is quite tolerant of ambiguity and
the absence of rigor in his data, and he accepts the condition that behavior is not completely
predictable.
3. The clinician operates with the conviction that his patient, not he, determines and defines the stimuli
presented in the professional setting. The clinician may introduce or impose test conditions or verbal
responses, but he takes as given that each patient will experience the situation uniquely, and he
searches for clues of this uniqueness, including them among his data.
4. From his theoretical orientation, however vaguely defined, the clinician makes observations, decides a
course of action, and provides a clinical service, all with the self-assurance of certainty, an attitude he
must maintain if he is to operate quickly and perform some service in the face of psychological crises,
which are the daily fare of clinical practice.
Although these basic differences in heritage and self-concept have segregated child development research and
clinical child practice over the years, there is some evidence from each camp of interest in a rapprochement. On the
side of child development research, there has been more active concern during the past 15 years with the potential
practical contributions of the systematic study of developmental psychology (Mussen, 1970, p. viii). Some child
researchers have turned their attention to promoting cognitive abilities, understanding the etiology and treatment of
mental retardation, improving teaching techniques, and preventing delinquency. These studies have made
contributions to practice, but they have also had a salutary effect on theory and method. When theoretically based
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hypotheses and methods are applied in real-life situations, the researcher is sometimes forced to revise the theory and
methods, as illustrated in the researcher’s experience in using Piaget’s concepts to plan preschool curricula. Clinical
problems can be a stimulus for basic research.
On the side of clinical child psychology, clinicians are beginning to acknowledge that they are obligated to
contribute to the systematic study of development. As Franz From (1960) stated, behaviorism need not scare
clinicians away from the study of behavior. Rather, clinicians should take more initiative and should become more
active in collecting observations, developing constructs, and conducting research within everyday practice.
THE CLINICAL CHILD PSYCHOLOGIST'S NEED FOR NEW TECHNIQUES
The clinical child psychologist is in dire need of technological advances. Compared to his forefathers in the child
guidance movement, the present-day clinician confronts a broad array of social-psychological problems and a wide
range of patients from infancy to adolescence, in addition to the childhood neuroses that occupied him in the 1940s
and 1950s. The clinician sees children who are unable to learn in spite of adequate intelligence, children and parents
whose daily transactions and negotiations are fraught with turmoil and conflict, children who are unable to take in and
use the standards of their parents and environment to regulate their behavior, children who are hyperactive and
restless with no organic cause, and infants who are not thriving appropriately within their particular parent-child
matrix.
As the child clinician approaches these problems with the diagnostic and treatment methods he has inherited
since Healy and Bonner first devised their form board, he is finding both the diagnostic methods (interviewing,
intelligence, perceptual, and projective tests) and the treatment methods (individual and group psychotherapy)
insufficient. The clinician is finding, for example, that aggression a child shows on projective tests does not always
correspond to the aggression he shows in the playground. The learning disability that handicaps a child does not
always respond to psychotherapy.
How does the clinician proceed to find a solution to his technological needs? Can he turn to the field of child
development research for assistance and advice? This avenue does not seem to be promising. The field of child
development research views its subject matter sometimes, and only recently, through the lens of the organismic
model, and more often through the lens of the mechanistic model, especially if the subject matter is personality
development. At the same time the field of clinical child psychology scans its content almost consistently through the
lens of the organismic model. Reese and Overton (1970) tell us convincingly that the mechanistic and organismic
models are basically incompatible. They can operate at best side by side, and the only rapprochement possible is “like
the parallel play of preschoolers in that the protagonists are separate, but equal and mutually tolerant” (p. 166). The
field of child research may find that it can conduct its business of studying development now looking at learning, or
cognition, or personality through the mechanistic model and social-learning theory, and now looking at cognition
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through the organismic model and Piaget’s theory. For the clinician, this is an untenable position from which to work.
The simultaneous use of two antithetical models is not unlike experiencing a schizophrenic process. In my opinion this
clash between the mechanistic and organismic models, especially the underlying values and presuppositions unique to
each, is one major reason the conditioning therapies have found only isolated use in general clinical practice and have
not led to a major change in the organismic, psychodynamic treatment approaches used to relieve children of
psychological suffering (see, e.g., Feather and Rhoads, 1972a and b; Berger and McGough, 1965).
RECOMMENDATIONS FOR THE CLINICAL CHILD PSYCHOLOGIST
Using the insights offered by an examination of the-historical antecedents of child research and child practice, a
treatment plan suggests itself that would help the clinician in his need for technological advances. The clinician should
not turn and embrace the field of child development research with its multiple models of man and its particular
reliance on the mechanistic view. The treatment plan recommends that the first step lies in constructing a single
theoretical framework capable of subsuming all the issues represented by the subject matter of importance to
clinicians: cognitive and emotional, intrapsychic and interpersonal, and normal and pathological. This
recommendation is compatible with a position stated by Baldwin (1960), who noted that contributions to practice will
not come from a frontal attack on clinical problems by child development research, with its accumulated knowledge
and historical bias. Rather, Baldwin contends, the first step is to construct a single theoretical model for the guidance
of the formulation of new questions and clinical methods.
This book is an attempt to implement this recommendation, in beginning the task of looking for new concepts
and clinical technology that shape clinical practice in terms of developmental principles, on the one hand, and embrace
developmental principles in terms of practical problems, on the other. The first step is to propose, for the guidance o
clinicians, a single developmental framework that returns psychoanalytic theory (especially its advances in
psychoanalytic ego psychology) to the center of the stage to interact with organismic-developmental theory. The two
together provide a single guide with which it seems that most, or perhaps all, of the issues and problems of clinical
import may be approached. Moreover, the framework proposed here appears to be a theoretical iceberg, containing
fairly well-defined propositions and hypotheses visible above water, and also bringing together a number of
assumptions and biases that derive from the history and identity of child development research, as well as from
clinical child psychology.
To implement the treatment recommendation further, the developmental framework proposed as a guide to
clinical practice is followed by a discussion of diagnostic and treatment techniques developed specifically for clinical
work with cognitive disabilities. These techniques are offered both as useful clinical technology and as one illustration
of how the proposed theoretical framework can serve as a guide for the development of new clinical technology.[2] The
clinical methods described in this book have been constructed, developed, and studied both in response to questions
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that emerged in my clinical practice, and out of my interest in using the developmental framework as a guide in
devising new technology. Although the diagnostic and treatment methods have been subjected to a number of formal
and clinical studies, the “hard-nose” researcher may still find them not “thoroughly” standardized and “completely”
tested. However, I believe that the technology proposed can contribute to practice in clinical child psychology and can
suggest further lines of technological innovation and clinical and developmental research.
Part II describes the proposed theoretical model, surveys some research studies reported in the literature which
illustrate its heuristic value for clinical practice, and considers diagnosis from the viewpoint of development. Part III
reviews the concept of cognitive controls, contains instructions for administering and scoring tests of cognitive
controls devised to aid in the task of diagnosing cognitive disabilities, presents data to support the validity and
reliability of these tests, and illustrates their application in practice. Part III also presents a developmental
adaptational model of cognition to which the diagnostic tests can be related and from which the treatment of cognitive
disabilities can be prescribed. Parts IV, V, and VI describe a treatment technique, and its rationale, called “cognitive
therapy,” which has been developed especially to treat cognitive disabilities and relies on the same developmental
framework as its guide.
The psychoanalytic clinician who derives his orientation from pre-1940 psychoanalytic writings will not find
very much that is familiar. The concepts employed come from the writings of psychoanalytic ego psychologists who
have stressed that a theory of the organization and development of psychic structures, and of man’s adaptation to and
conflict with external reality, is critically needed to supplement Freud’s theories of libido development, neurosis,intrapsychic conflict, and mechanisms of defense.
A word is also in order to clinicians who are committed, as I am, to the value of projective and intelligence tests
and of psychoanalytically oriented psychotherapy. The diagnostic procedures described here are not offered as
substitutes for traditional tests, which have long ago proved their worth in practice. They are suggested as useful
additional diagnostic strategies. As subsequent chapters note, the procedures described here may be very helpful,
when used along with projective instruments, intelligence scales, and academic achievement tests to diagnose, for
example, whether a child’s learning disability and hyperactivity in the classroom are due to lags in cognitivedevelopment or to neurotic conflicts, and whether psychotherapy or cognitive therapy is the treatment of choice.
Along the same line, the treatment methods presented here are intended for children whose problems do not respond
readily to psychotherapy or child analysis.
Although I believe that the diagnostic and treatment methods described may be of use to clinicians, they are
offered primarily as illustrations of the heuristic value of a single conceptual model that integrates child development
and psychoanalytic concepts, in the hope of stimulating practitioners and researchers to make use of the methods and
model in efforts to find new ways of understanding and approaching clinical problems.
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Notes
[1] For the following discussion of the heritages and self concepts of the researcher and clinician, I make use of information and
points of view contained in papers by Murray (1960) and Criswell (1958). However I assume responsibility for the
emphasis and interpretation given them here.
[2] I am preparing a book about diagnostic and treatment methods that also derive from the developmental framework proposed here
but concern motive expressions in children and parent-child interactions. This work is intended to provide other
illustrations of how the proposed biodevelopmental framework can guide the development of new clinical technology.
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Part 2
DEVELOPMENTAL THEORY AND DIAGNOSIS IN CLINICAL PRACTICE
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2
THE BIODEVELOPMENTAL FRAMEWORK:
CONCEPTS OF DEVELOPMENT FOR CLINICAL PRACTICE[3]
As outlined in the previous chapter, the field of child research grew separately from that of clinical child
psychology. This historical segregation has resulted in several complications for the present-day clinician who turn to
child theory and research, or to clinical reports, for a single map that could be helpful in innovating developmentally
based diagnostic and treatment techniques for practice.
First, current literature suggests that the worlds of child research and child clinical practice remain segregated,
for the most part. Clinical reports typically pay little systematic attention to the development of psychopathology, and
child research reports typically make no more ado about clinical application. An examination of the contents of several
handbooks and texts supports this view. It has already been noted that only three of the 29 chapters in the third
edition of Carmichael's Manual of Child Psychology (Mussen, 1970) bear on topics of direct significance to the child
practitioner (mental retardation, behavior disorders, and childhood psychosis). The first volume of the Review of Child
Development Research (Hoffman and Hoffman, 1964) does not contain a single chapter devoted to child
psychopathology; the second volume (Hoffman and Hoffman, 1966) has two such chapters, one on mental retardation
and the other on juvenile delinquency; there is no formal treatment of child psychopathology in the third volume
(Caldwell and Ricciuti, 1973); one of the 11 chapters of the fourth volume (Horowitz, 1975) has a clinical topic (drug
treatment of children with behavior problems); and two topics that could qualify as “child clinical” emerge in the fifth
volume (Hetherington, 1975)—one concerns learning disabilities and the other child abuse. These several volumes,
which could be viewed as reflecting the Zeitgeist of child development research, show that topics such as achievement,
parental discipline, aggression, concept attainment, peer relations, and cognitive and language development have held
the interest over the past 15 years, with infant development and Piagetian cognitive pathology emerging as dominant
in recent years. When surveying these research reviews, the child clinician may notice that not only do researchers
emphasize topics not directly connected to child psychopathology, but researchers rarely apply systematic research
designs and methods to some psychopathological forms of the behavior under study. The relative lack of interest in
psychopathology by child researchers relates to a review by Sears (1975) of the history of child development. He
points out that in the 1930s and early 1940s psychoanalysis, with its emphasis on pathology, exerted some influence
on the topics selected for research (e.g., attachment, dependency, sibling rivalry, gender-role development, and
achievement motivation). However he believes that since the 1950s the psychoanalytic school has remained more or
less isolated from the field of child development, an opinion borne out by our survey of the topics covered in the five
reviews of child development research published since 1964.
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On the other side of the coin, writings concerned with child psychopathology usually employ a descriptive
psychodynamic approach and pay little attention to developmental propositions in their treatment of the subject. One
illustration is provided by many of the contributions in Wolman's (1972) Handbook of Child Psychopathology, and
another by Kessler’s (1966) text on child psychopathology. The minor role played by the developmental view of child
psychopathology in the clinical world is pointedly underscored by a report of a project (Rhodes and Tracy, 1972)
designed to examine models of emotional disturbances in children and to synthesize the concepts of these models. The
developmental model is not among the five that were examined: biophysical, learning, sociological, ecological, and
psychodynamic.
Psychodynamically oriented texts concerned with child psychopathology typically bring attention to
developmental issues through the lens of psychoanalytic ego psychology. For example, disturbances in ego functioning
observed in childhood and adolescence are given some consideration developmentally in one text (Copel, 1973). In
another (Blanck and Blanck, 1974) “descriptive developmental diagnosis” is proposed as taking several lines of
observation simultaneously—object relations, psychosexual maturation; drive-taming processes, defensive functions.
One book (Achenbach, 1974) joins the term “developmental” with the term “psychopathology” in its title and points
out that psychopathology in children is best understood in relation to changes (progression, regression, deviations,
successes, and failures) that occur in the course of children’s attempts to master the developmental tasks that face
them. But even in this text, with “developmental” in its title, discussions of classification, drug abuse, antisocial
behavior, and intervention are not organized with developmental principles at the core.
Noticing that writings today of child research and of child psychopathology still reveal the segregated status o
each, practitioners may find themselves concluding and agreeing with Schopler and Reichler (1976), who state in their
text on psychopathology and child development that this segregation has contributed to stereotypes on both sides,
which in turn foster the segregation: researchers often stereotype clinicians as being fuzzy-headed and intellectually
undisciplined, whereas clinicians often caricature researchers as individuals preoccupied with trivial and socially
irrelevant issues.
Another complication that emerges for the practitioner who turns to child research and clinical writings forguidance in innovating technique concerns the concept of “development” itself, which as used in the general
psychological literature, is a protean one (Kaplan, 1959; Nagel, 1957; Aigler, 1963; Reese and Overton, 1970; Wohlwill,
1973). Development is variously taken to refer to growth, achievement of a new response, attainment of an ideal end
state, change occurring over time, or any study employing children, especially if the subjects are of different ages.
Moreover, no single, generally accepted theory of psychological development exists at this time. Rather, several
schools of development have been stimulating a rapidly growing number of studies (Baldwin, 1967). Each emphasizes
particular questions and classes of behavior and offers various concepts to account for observations made. Amongthese schools are social-learning theory; psychoanalysis; the cognitive-developmental theories of Jean Piaget, Heinz
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Werner, and Jerome Bruner; the field theory of Kurt Lewin; the sociological theory of Talcott Parsons and Robert
Bales; and the biological systems theory of Ludwig von Bertalanffy.
The clinical child psychologist, then, finds that developmental questions, concepts, and research findings do not
live in a single house but in many, varied houses. Two houses may claim that an area of development, such as
cognition, lives inside, but one is a three-story rambling structure, the other a single-story, efficient, ranch-style house.
Moreover, though each of these houses claims to be the place in which psychological development lives, when we look
inside one we find thinking and cognition, in another we find social learning, and in still another, interpersonal
transactions. Furthermore, houses of developmental psychology have also been constructed in terms of chronological
age, with the discipline of infant development residing in one, childhood development in another, and adolescent
development in another. The field of life-span developmental psychology has emerged during the past decade to
counter this compartmentalizing of developmental psychology and to emphasize that the same developmental
principles can serve the study of behavior from birth to old age (Baltes and Schaie, 1973; Goulet and Baltes, 1970).
Because of this state of affairs, and the need for a single model of development discussed in Chapter 1, I found it
necessary to construct a conceptual scaffold of development that could offer a comprehensive framework and
guidance to the practitioner.
But which planks, of the many offered by developmental theories in vogue, should go into this scaffold? The
framework selected derives primarily from three of the schools mentioned earlier, namely, the developmental theory
of psychoanalysis represented by writings in ego psychology (e.g., Hartmann, 1958; Gill, 1967; Rapaport and Gill,
1959); the cognitive-developmental theory of Piaget (e.g., Flavell, 1963); and the organismic-developmental theory o
Werner (Werner, 1957; Werner and Kaplan, 1963).
There are several justifications for the choice, beyond my own preference for these particular schools, especially
those of psychoanalysis and of Werner. First, the three schools selected share basic features: each assumes that
“development” is not a phenomenon as such but a set of assumptions defining a point of view from which any behavior
can be observed and conceptualized; each was formulated initially within a biologic