Saturday, March 10, 2012
SNIPER RIFLE
Sniper rifle
The 7.62x51mm M40, United States Marine Corps standard-issue sniper rifle.
The Accuracy International Arctic Warfare series of sniper rifles is standard issue in the armies of many countries, including those of Britain and Germany (picture shows a rifle of the German Army).
Bor – the 7.62×51 mm Polish bolt-action sniper rifle.
In military and law enforcement terminology, a sniper rifle is a precision-rifle used to ensure more accurate placement of bullets at longer ranges than other small arms. A typical sniper rifle is built for optimal levels of accuracy, fitted with a telescopic sight and chambered for a military centerfire cartridge. The term is often used in the media to describe any type of accurized firearm fitted with a telescopic sight that is employed against human targets, although "sniping rifle" or "sniper's rifle" is the technically correct fashion to refer to such a rifle.
The military role of a sniper (a term derived from the snipe, a bird which was difficult to hunt and shoot) dates back to the turn of the 18th century, but the true sniper rifle is a much more recent development. Advances in technology, specifically that of telescopic sights and more accurate manufacturing, allowed armies to equip specially trained soldiers with rifles that enable them to deliver precise shots over greater distances than regular infantry weapons. The rifle itself could be based on a standard rifle (at first, a bolt-action rifle); however, when fitted with a telescopic sight, it becomes a sniper rifle.
History
During World War II, the (7.62x54mmR) Mosin-Nagant rifle mounted with a telescopic sight was commonly used as a sniper rifle by Russian snipers.
Vietnam War era sniper rifles, US Army XM21 (top) and USMC M40 (bottom)
In the American Civil War Confederate troops equipped with barrel-length three power scopes mounted on the exceptionally accurate British Whitworth rifle had been known to kill Union officers at ranges of about 800 yards (731.5m), an unheard-of distance at that time.[1][2][3][4]
The earliest sniper rifles were little more than conventional military or target rifles with long-range "peep sights" and Galilean 'open telescope' front and rear sights, designed for use on the target range. Only from the beginning of World War I did specially adapted sniper rifles come to the fore. Germany deployed military caliber hunting rifles with telescopic sights, and the British used Aldis, Winchester and Periscopic Prism Co. sights fitted by gunsmiths to regulation SMLE Mk III and Mk III* or Enfield Pattern 1914 rifles; the Canadian Ross rifle was also employed by snipers after it had been withdrawn from general issue.
Typical World War II-era sniper rifles were generally standard-issue battle rifles, selected for accuracy, with a 2.5x or 3x telescopic sight and cheek-rest fitted and the bolt turned down if necessary to allow operation with the scope fitted. Australia's No.1 Mk III* (HT) rifle was a later conversion of the SMLE fitted with the Lithgow heavy target barrel at the end of WW2. By the end of the war, forces on all sides had specially trained soldiers equipped with sniper rifles, and they have played an increasingly important role in military operations ever since.
Classification
Modern sniper rifles can be divided into two basic classes: military and law enforcement.
Military
U.S. Marine Corps SRT sniper team with an M24 sniper rifle, during sniper training.
Sniper rifles aimed at military service are often designed for very high durability, range, reliability, sturdiness, serviceability and repairability under adverse environmental and combat conditions, at the sacrifice of a small degree of accuracy. Military snipers and sharpshooters may also be required to carry their rifles and other equipment for long distances, making it important to minimize weight. Military organizations often operate under strict budget constraints, which influences the type and quality of sniper rifles they purchase.
Law enforcement
Sniper rifles built or modified for use in law enforcement are generally required to have the greatest possible accuracy, more than military rifles, but do not need to have as long a range.
As law enforcement-specific rifles are usually used in non-combat (often urban) environments, they do not have the requirement to be as hardy or portable as military versions; nevertheless they may be smaller, as they do not need very long range.
Some of the first sniper rifles designed specifically to meet police and other law-enforcement requirements were developed for West German police after the Munich massacre at the 1972 Summer Olympics. Many police services and law enforcement organizations (such as the U.S. Secret Service) now use rifles designed for law enforcement purposes.
The Heckler & Koch PSG1 is one rifle specifically designed to meet these criteria and is often referred to as an ideal example of this type of sniper rifle. The FN Special Police Rifle was built for and is marketed to law enforcement rather than military agencies.
Distinguishing characteristics
Looking through a telescopic sight.
PSO-1 Sniper Scope Reticle
1 - Lead/deflection scale
2 - Main targeting chevron
3 - Bullet drop chevrons
4 - Rangefinder
The features of a sniper rifle can vary widely depending on the specific tasks it is intended to perform. Features that may distinguish a sniper rifle from other weapons are the presence of a telescopic sight, unusually long overall length,[5] a stock designed for firing from a prone position, and the presence of a bipod and other accessories.
Telescopic sight
The single most important characteristic that sets a sniper rifle apart from other military or police small arms is the mounting of a telescopic sight, which is relatively easy to distinguish from smaller optical aiming devices found on some modern assault rifles and submachine guns. This also allows the user to see farther.
The telescopic sights used on sniper rifles differ from other optical sights in that they offer much greater magnification (more than 4x and up to 40x), and have a much larger objective lens (40 to 50 mm in diameter) for a brighter image.
Most telescopic lenses employed in military or police roles have special reticles to aid with judgment of distance, which is an important factor in accurate shot placement due to the bullet's trajectory.
Action
The choice between bolt-action and semi-automatic (more commonly known as recoil or gas operation) is usually determined by specific requirements of the sniper's role as envisioned in a particular organization, with each design having advantages and disadvantages. For a given cartridge, a bolt-action rifle is cheaper to build and maintain, more reliable, and lighter, due to fewer moving parts in the mechanism. In addition, the lack of an external magazine allows for more versatile fire-positioning, and the absence of uncontrolled automatic cartridge case ejection helped to avoid revealing the firer's position. Semi-automatic weapons can serve both as battle rifle and sniper rifle, and allow for a greater rate (and hence volume) of fire. As such rifles may be modified service rifles, an additional benefit can be commonality of operation with the issued infantry rifle. A bolt action is most commonly used in both military and police roles due to its higher accuracy and ease of maintenance. Anti-materiel applications such as mine clearing and special forces operations tend to use semi-automatics.
A Marine manually extracts an empty cartridge and chambers a new 7.62x51mm round in his bolt-action M40A3 sniper rifle. The bolt handle is held in the shooter's hand and is not visible in this photo.
A designated marksman rifle (DMR) is less specialized than a typical military sniper rifle, often only intended to extend the range of a group of soldiers. Therefore, when a semi-automatic action is used it is due to its ability to cross over into roles similar to the roles of standard issue weapons. There may also be additional logistical advantages if the DMR uses the same ammunition as the more common standard issue weapons. These rifles enable a higher volume of fire, but sacrifice some long range accuracy. They are frequently built from existing selective fire battle rifles or assault rifles, often simply by adding a telescopic sight and adjustable stock.
A police semi-automatic sniper rifle may be used in situations that require a single sniper to engage multiple targets in quick succession, and military semi-automatics such as the M110 SASS are used in similar "target-rich" environments.
Cartridge
In a military setting, logistical concerns are the primary determinant of the cartridge used, so sniper rifles are usually limited to rifle cartridges commonly used by the military force employing the rifle and match grade ammunition. Since large national militaries generally change slowly, military rifle ammunition is frequently battle-tested and well-studied by ammunition and firearms experts. Consequently, police forces tend to follow military practices in choosing a sniper rifle cartridge instead of trying to break new ground with less-perfected (but possibly better) ammunition.
Before the introduction of the standard 7.62x51mm NATO (.308 Winchester) cartridge in the 1950s, standard military cartridges were the .30-06 Springfield or 7.62x63mm (United States), .303 British (7.7x56mmR) (United Kingdom) and 7.92x57mm (8mm Mauser) (Germany). The .30-06 Springfield continued in service with U.S. Marine Corps snipers during the Vietnam War in the 1970s, well after general adoption of the 7.62x51mm. At the present time, in both the Western world and within NATO, 7.62x51mm is currently the primary cartridge of choice for military and police sniper rifles.
Worldwide, the trend is similar. The preferred sniper cartridge in Russia is another .30 caliber military cartridge, the 7.62 x 54 mm R, which has similar performance to the 7.62x51mm. This cartridge was introduced in 1891, and both Russian sniper rifles of the modern era, the Mosin-Nagant and the Dragunov sniper rifle, are chambered for it.
Certain commercial cartridges designed with only performance in mind, without the logistical constraints of most armies, have also gained popularity in the 1990s. These include the 7 mm Remington Magnum (7.2x64mm), .300 Winchester Magnum (7.8/7.62x67mm), and the .338 Lapua Magnum (8.6x70mm). These cartridges offer better ballistic performance and greater effective range than the 7.62x51mm. Though they are not as powerful as .50 caliber cartridges, rifles chambered for these cartridges are not as heavy as rifles chambered for .50 caliber ammunition, and are significantly more powerful than rifles chambered for 7.62x51mm.
M82A1 SASR (Special Applications Scoped Rifle or Semi-Automatic Sniper Rifle), a .50 caliber sniper rifle used as an anti-materiel rifle.
Snipers may also employ anti-materiel rifles in sniping roles against targets such as vehicles, equipment and structures, or for the long-range destruction of explosive devices; these rifles may also be used against personnel.
Anti-materiel rifles tend to be semi-automatic and of a larger caliber than anti-personnel rifles, using cartridges such as the .50 BMG, 12.7x108mm Russian or even 14.5x114mm Russian and 20mm. These large cartridges are required to be able to fire projectiles containing payloads such as explosives, armor piercing cores, incendiaries or combinations of these, such as the Raufoss Mk211 projectile. Due to the considerable size and weight of anti-materiel rifles, 2- or 3-man sniper teams become necessary.
Barrel
Barrels are normally of precise manufacture and of a heavier cross section than more traditional barrels in order to reduce the change in impact points between a first shot from a cold barrel and a follow-up shot from a warm barrel. Unlike many battle and assault rifles, the bores are usually not chromed to avoid inaccuracy due to an uneven treatment.
When installed, barrels are often free-floated: i.e., installed so that the barrel only contacts the rest of the rifle at the receiver, to minimise the effects on impact point of pressure on the fore-end by slings, bipods, or the sniper's hands. The end of the barrel is usually crowned or machined to form a rebated area around the muzzle proper to avoid asymmetry or damage, and consequent inaccuracy. Alternatively, some rifles such as the Dragunov or Walther WA2000 provide structures at the fore-end to provide tension on the barrel in order to counteract barrel drop and other alterations in barrel shape.
External longitudinal fluting that contributes to heat dissipation by increasing surface area while simultaneously decreasing the weight of the barrel is sometimes used on sniper-rifle barrels.
Sniper-rifle barrels may also utilise a threaded muzzle or combination device (muzzle brake or flash suppressor and attachment mount) to allow the fitting of a sound suppressor. These suppressors often have means of adjusting the point of impact while fitted.
Military sniper rifles tend to have barrel lengths of 609.6 mm (24 inches) or longer, to allow the cartridge propellant to fully burn, reducing revealing muzzle flash and increasing bullet velocity. Police sniper rifles may use shorter barrels to improve handling characteristics. The shorter barrels' velocity loss is unimportant at closer ranges; projectile energy is more than sufficient.
Stock
The most common special feature of a sniper rifle stock is the adjustable cheek piece, where the shooter's cheek meets the rear of the stock. For most rifles equipped with a telescopic sight, this area is raised slightly, because the telescope is positioned higher than iron sights. A cheek piece is simply a section of the stock that can be adjusted up or down to suit the individual shooter. To further aid this individual fitting, the stock can sometimes also be adjusted for length, often by varying the number of inserts at the rear of the stock where it meets the shooter's shoulder. Sniper stocks are typically designed to avoid making contact with the barrel of the weapon.
Accessories
An adjustable sling is often fitted on the rifle, used by the sniper to achieve better stability when standing, kneeling, or sitting. The sniper uses the sling to "lock-in" by wrapping his non-firing arm into the sling forcing his arm to be still. Non-static weapon mounts such as bipods, monopods and shooting sticks are also regularly used to aid and improve stability and reduce operator fatigue.
Capabilities
Accuracy
Comparison of 0.5, 1, and 3 MOA extreme spread levels against a human torso at 800 m (left) and a human head at 100 m (right)
A military-issue battle rifle or assault rifle is usually capable of between 3-6 minute of angle (MOA) (1-2 mrad) accuracy. A standard-issue military sniper rifle is typically capable of 1-3 MOA (0.3-1 mrad) accuracy, with a police sniper rifle capable of 0.25-1.5 MOA (0.1-0.5 mrad) accuracy. For comparison, a competition target or benchrest rifle may be capable of accuracy up to 0.15-0.3 MOA (0.05-0.1 mrad).
A 1 MOA (0.3 mrad) average extreme spread for a 5-shot group (meaning the center-to-center distance between the two most distant bullet holes in a shot-group) translates into a 69% probability that the bullet's point of impact will be in a target circle with a diameter of 23.3 cm at 800 m (about 8 inches at 800 yards). This average extreme spread for a 5-shot group and the accompanying hit probability are considered sufficient for effectively hitting a human shape at 800 m distance.
In 1982 a U.S. Army draft requirement for a Sniper Weapon System was: "The System will: (6) Have an accuracy of no more than 0.75 MOA (0.2 mrad) for a 5-shot group at 1,500 meters when fired from a supported, non-benchrest position".[6] Actual Sniper Weapon System (M24) adopted in 1988 has stated maximum effective range of 800 meters and a maximum allowed average mean radius (AMR) of 1.9 inches at 300 yards from a machine rest, what corresponds to a 0.6 MOA (0.5 mrad) extreme spread for a 5-shot group when using 7.62 x 51 mm M118 Special Ball cartridges.[7][8][9]
Precision Weapon Engagement Ranges & Dispersion according to the US Army.
A 2008 United States military market survey for a Precision Sniper Rifle (PSR) calls for 1 MOA (0.3 mrad) extreme vertical spread for all shots in a 5-round group fired at targets at 300, 600, 900, 1,200 and 1,500 meters.[10][11] In 2009 a United States Special Operations Command market survey calls for 1 MOA (0.3 mrad) extreme vertical spread for all shots in a 10-round group fired at targets at 300, 600, 900, 1,200 and 1,500 meters.[12][13] The 2009 Precession Sniper Rifle requirements state that the PSR when fired without suppressor shall provide a confidence factor of 80% that the weapon and ammunition combination is capable of holding 1 MOA extreme vertical spread. This shall be calculated from 150 ten (10) round groups that were fired unsuppressed. No individual group shall exceed 1.5 MOA (0.5 mrad) extreme vertical spread. All accuracy will be taken at the 1,500 meter point.[14][15] In 2008 the US military adopted the M110 Semi-Automatic Sniper System which has corresponding maximum allowed extreme spread of 1.8 MOA (0.5 mrad) for a 5-shot group on 300 feet, using M118LR ammunition or equivalent.[7][8][16] In 2010 maximum bullet dispersion requirement for M24 .300 Winchester Magnum corresponds[7][8] 1.4 MOA extreme spread for 5 shot group on 100 meters.[17]
Although accuracy standards for police rifles do not widely exist, rifles are frequently seen with accuracy levels from 0.5-1.5 MOA (0.2-0.5 mrad).[18] For typical policing situations an extreme spread accuracy level no better than 1 MOA (0.3 mrad) is usually all that is required. This is because police typically employ their rifles at short ranges.[19] At 100 m or less, a rifle with a relatively low accuracy of only 1 MOA (0.3 mrad) should be able to repeatedly hit a 3 cm (1.2 inch) target. A 3 cm diameter target is smaller than the brain stem which is targeted by police snipers for its quick killing effect.[20]
Maximum effective range
Cartridge Maximum effective range[21]
7.62x39mm
350 m
5.56x45mm
600 m [22]
7.62x51mm (.308 Winchester)
800 m
7.62x54mm R
800 m
.30-06 Springfield
800 m
7 mm Remington Magnum
900–1,100 m
.300 Winchester Magnum
900–1,200 m
.338 Lapua Magnum
1,200-1,500 m
.50 BMG (12.7x99mm NATO)
12.7x108mm (Russian)
1,500–2,000 m
14.5x114mm
1,800–2,300 m
The listed maximum ranges of commonly used military and police sniping cartridges are mainly consistent with the claims made by military organizations and materiel manufacturers, but not based on consistent or strictly scientific criteria. The problem is only the bullet interacts with the target (can also be a materiel target for a sniper bullet). This implies that the properties of the target, properties and velocity of the employed bullet (parts) and desired effect are the most relevant factors.
Unlike police sniper rifles, military sniper rifles tend to be employed at the greatest possible distances so that range advantages like the increased difficulty to spot and engage the sniper can be exploited. The most popular military sniper rifles (in terms of numbers in service) are chambered for 7.62 mm (0.30 inch) caliber ammunition, such as 7.62x51mm and 7.62x54mm R. Since sniper rifles of this class must compete with several other types of military weapons with similar range, snipers invariably must employ skilled fieldcraft to conceal their position.
The recent trend in specialized military sniper rifles is towards larger calibers that offer relatively favorable hit probabilities at greater range, such as the anti-personnel .338 Lapua Magnum cartridge and anti-materiel cartridges like the .50 BMG and the 14.5x114mm. This allows snipers to take fewer risks, and spend less time finding concealment when facing enemies that are not equipped with similar weapons.
Maximum range claims made by military organizations and materiel manufacturers regarding sniper weapon systems are not based on consistent or strictly scientific criteria. The problem is only the bullet interacts after a relatively long flight path with the target (can also be a materiel target for a sniper bullet). This implies that variables such as the minimal required hit probability, local atmospheric conditions, properties and velocity of the employed bullet (parts), properties of the target and the desired terminal effect are major relevant factors that determine the maximum effective range of the employed system.
Wednesday, March 7, 2012
SNIPERS WEAPONS
The 7.62x51mm M40, United States Marine Corps standard-issue sniper rifle.
The Accuracy International Arctic Warfare series of sniper rifles is standard issue in the armies of many countries, including those of Britain and Germany (picture shows a rifle of the German Army).
Bor – the 7.62×51 mm Polish bolt-action sniper rifle.
In military and law enforcement terminology, a sniper rifle is a precision-rifle used to ensure more accurate placement of bullets at longer ranges than other small arms. A typical sniper rifle is built for optimal levels of accuracy, fitted with a telescopic sight and chambered for a military centerfire cartridge. The term is often used in the media to describe any type of accurized firearm fitted with a telescopic sight that is employed against human targets, although "sniping rifle" or "sniper's rifle" is the technically correct fashion to refer to such a rifle.
The military role of a sniper (a term derived from the snipe, a bird which was difficult to hunt and shoot) dates back to the turn of the 18th century, but the true sniper rifle is a much more recent development. Advances in technology, specifically that of telescopic sights and more accurate manufacturing, allowed armies to equip specially trained soldiers with rifles that enable them to deliver precise shots over greater distances than regular infantry weapons. The rifle itself could be based on a standard rifle (at first, a bolt-action rifle); however, when fitted with a telescopic sight, it becomes a sniper rifle.
History
During World War II, the (7.62x54mmR) Mosin-Nagant rifle mounted with a telescopic sight was commonly used as a sniper rifle by Russian snipers.
Vietnam War era sniper rifles, US Army XM21 (top) and USMC M40 (bottom)
In the American Civil War Confederate troops equipped with barrel-length three power scopes mounted on the exceptionally accurate British Whitworth rifle had been known to kill Union officers at ranges of about 800 yards (731.5m), an unheard-of distance at that time.[1][2][3][4]
The earliest sniper rifles were little more than conventional military or target rifles with long-range "peep sights" and Galilean 'open telescope' front and rear sights, designed for use on the target range. Only from the beginning of World War I did specially adapted sniper rifles come to the fore. Germany deployed military caliber hunting rifles with telescopic sights, and the British used Aldis, Winchester and Periscopic Prism Co. sights fitted by gunsmiths to regulation SMLE Mk III and Mk III* or Enfield Pattern 1914 rifles; the Canadian Ross rifle was also employed by snipers after it had been withdrawn from general issue.
Typical World War II-era sniper rifles were generally standard-issue battle rifles, selected for accuracy, with a 2.5x or 3x telescopic sight and cheek-rest fitted and the bolt turned down if necessary to allow operation with the scope fitted. Australia's No.1 Mk III* (HT) rifle was a later conversion of the SMLE fitted with the Lithgow heavy target barrel at the end of WW2. By the end of the war, forces on all sides had specially trained soldiers equipped with sniper rifles, and they have played an increasingly important role in military operations ever since.
[edit] Classification
Modern sniper rifles can be divided into two basic classes: military and law enforcement.
[edit] Military
U.S. Marine Corps SRT sniper team with an M24 sniper rifle, during sniper training.
Sniper rifles aimed at military service are often designed for very high durability, range, reliability, sturdiness, serviceability and repairability under adverse environmental and combat conditions, at the sacrifice of a small degree of accuracy. Military snipers and sharpshooters may also be required to carry their rifles and other equipment for long distances, making it important to minimize weight. Military organizations often operate under strict budget constraints, which influences the type and quality of sniper rifles they purchase.
[edit] Law enforcement
Sniper rifles built or modified for use in law enforcement are generally required to have the greatest possible accuracy, more than military rifles, but do not need to have as long a range.
As law enforcement-specific rifles are usually used in non-combat (often urban) environments, they do not have the requirement to be as hardy or portable as military versions; nevertheless they may be smaller, as they do not need very long range.
Some of the first sniper rifles designed specifically to meet police and other law-enforcement requirements were developed for West German police after the Munich massacre at the 1972 Summer Olympics. Many police services and law enforcement organizations (such as the U.S. Secret Service) now use rifles designed for law enforcement purposes.
The Heckler & Koch PSG1 is one rifle specifically designed to meet these criteria and is often referred to as an ideal example of this type of sniper rifle. The FN Special Police Rifle was built for and is marketed to law enforcement rather than military agencies.
[edit] Distinguishing characteristics
Looking through a telescopic sight.
PSO-1 Sniper Scope Reticle
1 - Lead/deflection scale
2 - Main targeting chevron
3 - Bullet drop chevrons
4 - Rangefinder
The features of a sniper rifle can vary widely depending on the specific tasks it is intended to perform. Features that may distinguish a sniper rifle from other weapons are the presence of a telescopic sight, unusually long overall length,[5] a stock designed for firing from a prone position, and the presence of a bipod and other accessories.
[edit] Telescopic sight
The single most important characteristic that sets a sniper rifle apart from other military or police small arms is the mounting of a telescopic sight, which is relatively easy to distinguish from smaller optical aiming devices found on some modern assault rifles and submachine guns. This also allows the user to see farther.
The telescopic sights used on sniper rifles differ from other optical sights in that they offer much greater magnification (more than 4x and up to 40x), and have a much larger objective lens (40 to 50 mm in diameter) for a brighter image.
Most telescopic lenses employed in military or police roles have special reticles to aid with judgment of distance, which is an important factor in accurate shot placement due to the bullet's trajectory.
[edit] Action
The choice between bolt-action and semi-automatic (more commonly known as recoil or gas operation) is usually determined by specific requirements of the sniper's role as envisioned in a particular organization, with each design having advantages and disadvantages. For a given cartridge, a bolt-action rifle is cheaper to build and maintain, more reliable, and lighter, due to fewer moving parts in the mechanism. In addition, the lack of an external magazine allows for more versatile fire-positioning, and the absence of uncontrolled automatic cartridge case ejection helped to avoid revealing the firer's position. Semi-automatic weapons can serve both as battle rifle and sniper rifle, and allow for a greater rate (and hence volume) of fire. As such rifles may be modified service rifles, an additional benefit can be commonality of operation with the issued infantry rifle. A bolt action is most commonly used in both military and police roles due to its higher accuracy and ease of maintenance. Anti-materiel applications such as mine clearing and special forces operations tend to use semi-automatics.
A Marine manually extracts an empty cartridge and chambers a new 7.62x51mm round in his bolt-action M40A3 sniper rifle. The bolt handle is held in the shooter's hand and is not visible in this photo.
A designated marksman rifle (DMR) is less specialized than a typical military sniper rifle, often only intended to extend the range of a group of soldiers. Therefore, when a semi-automatic action is used it is due to its ability to cross over into roles similar to the roles of standard issue weapons. There may also be additional logistical advantages if the DMR uses the same ammunition as the more common standard issue weapons. These rifles enable a higher volume of fire, but sacrifice some long range accuracy. They are frequently built from existing selective fire battle rifles or assault rifles, often simply by adding a telescopic sight and adjustable stock.
A police semi-automatic sniper rifle may be used in situations that require a single sniper to engage multiple targets in quick succession, and military semi-automatics such as the M110 SASS are used in similar "target-rich" environments.
[edit] Cartridge
In a military setting, logistical concerns are the primary determinant of the cartridge used, so sniper rifles are usually limited to rifle cartridges commonly used by the military force employing the rifle and match grade ammunition. Since large national militaries generally change slowly, military rifle ammunition is frequently battle-tested and well-studied by ammunition and firearms experts. Consequently, police forces tend to follow military practices in choosing a sniper rifle cartridge instead of trying to break new ground with less-perfected (but possibly better) ammunition.
Before the introduction of the standard 7.62x51mm NATO (.308 Winchester) cartridge in the 1950s, standard military cartridges were the .30-06 Springfield or 7.62x63mm (United States), .303 British (7.7x56mmR) (United Kingdom) and 7.92x57mm (8mm Mauser) (Germany). The .30-06 Springfield continued in service with U.S. Marine Corps snipers during the Vietnam War in the 1970s, well after general adoption of the 7.62x51mm. At the present time, in both the Western world and within NATO, 7.62x51mm is currently the primary cartridge of choice for military and police sniper rifles.
Worldwide, the trend is similar. The preferred sniper cartridge in Russia is another .30 caliber military cartridge, the 7.62 x 54 mm R, which has similar performance to the 7.62x51mm. This cartridge was introduced in 1891, and both Russian sniper rifles of the modern era, the Mosin-Nagant and the Dragunov sniper rifle, are chambered for it.
Certain commercial cartridges designed with only performance in mind, without the logistical constraints of most armies, have also gained popularity in the 1990s. These include the 7 mm Remington Magnum (7.2x64mm), .300 Winchester Magnum (7.8/7.62x67mm), and the .338 Lapua Magnum (8.6x70mm). These cartridges offer better ballistic performance and greater effective range than the 7.62x51mm. Though they are not as powerful as .50 caliber cartridges, rifles chambered for these cartridges are not as heavy as rifles chambered for .50 caliber ammunition, and are significantly more powerful than rifles chambered for 7.62x51mm.
M82A1 SASR (Special Applications Scoped Rifle or Semi-Automatic Sniper Rifle), a .50 caliber sniper rifle used as an anti-materiel rifle.
Snipers may also employ anti-materiel rifles in sniping roles against targets such as vehicles, equipment and structures, or for the long-range destruction of explosive devices; these rifles may also be used against personnel.
Anti-materiel rifles tend to be semi-automatic and of a larger caliber than anti-personnel rifles, using cartridges such as the .50 BMG, 12.7x108mm Russian or even 14.5x114mm Russian and 20mm. These large cartridges are required to be able to fire projectiles containing payloads such as explosives, armor piercing cores, incendiaries or combinations of these, such as the Raufoss Mk211 projectile. Due to the considerable size and weight of anti-materiel rifles, 2- or 3-man sniper teams become necessary.
[edit] Barrel
Barrels are normally of precise manufacture and of a heavier cross section than more traditional barrels in order to reduce the change in impact points between a first shot from a cold barrel and a follow-up shot from a warm barrel. Unlike many battle and assault rifles, the bores are usually not chromed to avoid inaccuracy due to an uneven treatment.
When installed, barrels are often free-floated: i.e., installed so that the barrel only contacts the rest of the rifle at the receiver, to minimise the effects on impact point of pressure on the fore-end by slings, bipods, or the sniper's hands. The end of the barrel is usually crowned or machined to form a rebated area around the muzzle proper to avoid asymmetry or damage, and consequent inaccuracy. Alternatively, some rifles such as the Dragunov or Walther WA2000 provide structures at the fore-end to provide tension on the barrel in order to counteract barrel drop and other alterations in barrel shape.
External longitudinal fluting that contributes to heat dissipation by increasing surface area while simultaneously decreasing the weight of the barrel is sometimes used on sniper-rifle barrels.
Sniper-rifle barrels may also utilise a threaded muzzle or combination device (muzzle brake or flash suppressor and attachment mount) to allow the fitting of a sound suppressor. These suppressors often have means of adjusting the point of impact while fitted.
Military sniper rifles tend to have barrel lengths of 609.6 mm (24 inches) or longer, to allow the cartridge propellant to fully burn, reducing revealing muzzle flash and increasing bullet velocity. Police sniper rifles may use shorter barrels to improve handling characteristics. The shorter barrels' velocity loss is unimportant at closer ranges; projectile energy is more than sufficient.
[edit] Stock
The most common special feature of a sniper rifle stock is the adjustable cheek piece, where the shooter's cheek meets the rear of the stock. For most rifles equipped with a telescopic sight, this area is raised slightly, because the telescope is positioned higher than iron sights. A cheek piece is simply a section of the stock that can be adjusted up or down to suit the individual shooter. To further aid this individual fitting, the stock can sometimes also be adjusted for length, often by varying the number of inserts at the rear of the stock where it meets the shooter's shoulder. Sniper stocks are typically designed to avoid making contact with the barrel of the weapon.
[edit] Accessories
An adjustable sling is often fitted on the rifle, used by the sniper to achieve better stability when standing, kneeling, or sitting. The sniper uses the sling to "lock-in" by wrapping his non-firing arm into the sling forcing his arm to be still. Non-static weapon mounts such as bipods, monopods and shooting sticks are also regularly used to aid and improve stability and reduce operator fatigue.
[edit] Capabilities
[edit] Accuracy
Comparison of 0.5, 1, and 3 MOA extreme spread levels against a human torso at 800 m (left) and a human head at 100 m (right)
A military-issue battle rifle or assault rifle is usually capable of between 3-6 minute of angle (MOA) (1-2 mrad) accuracy. A standard-issue military sniper rifle is typically capable of 1-3 MOA (0.3-1 mrad) accuracy, with a police sniper rifle capable of 0.25-1.5 MOA (0.1-0.5 mrad) accuracy. For comparison, a competition target or benchrest rifle may be capable of accuracy up to 0.15-0.3 MOA (0.05-0.1 mrad).
A 1 MOA (0.3 mrad) average extreme spread for a 5-shot group (meaning the center-to-center distance between the two most distant bullet holes in a shot-group) translates into a 69% probability that the bullet's point of impact will be in a target circle with a diameter of 23.3 cm at 800 m (about 8 inches at 800 yards). This average extreme spread for a 5-shot group and the accompanying hit probability are considered sufficient for effectively hitting a human shape at 800 m distance.
In 1982 a U.S. Army draft requirement for a Sniper Weapon System was: "The System will: (6) Have an accuracy of no more than 0.75 MOA (0.2 mrad) for a 5-shot group at 1,500 meters when fired from a supported, non-benchrest position".[6] Actual Sniper Weapon System (M24) adopted in 1988 has stated maximum effective range of 800 meters and a maximum allowed average mean radius (AMR) of 1.9 inches at 300 yards from a machine rest, what corresponds to a 0.6 MOA (0.5 mrad) extreme spread for a 5-shot group when using 7.62 x 51 mm M118 Special Ball cartridges.[7][8][9]
Precision Weapon Engagement Ranges & Dispersion according to the US Army.
A 2008 United States military market survey for a Precision Sniper Rifle (PSR) calls for 1 MOA (0.3 mrad) extreme vertical spread for all shots in a 5-round group fired at targets at 300, 600, 900, 1,200 and 1,500 meters.[10][11] In 2009 a United States Special Operations Command market survey calls for 1 MOA (0.3 mrad) extreme vertical spread for all shots in a 10-round group fired at targets at 300, 600, 900, 1,200 and 1,500 meters.[12][13] The 2009 Precession Sniper Rifle requirements state that the PSR when fired without suppressor shall provide a confidence factor of 80% that the weapon and ammunition combination is capable of holding 1 MOA extreme vertical spread. This shall be calculated from 150 ten (10) round groups that were fired unsuppressed. No individual group shall exceed 1.5 MOA (0.5 mrad) extreme vertical spread. All accuracy will be taken at the 1,500 meter point.[14][15] In 2008 the US military adopted the M110 Semi-Automatic Sniper System which has corresponding maximum allowed extreme spread of 1.8 MOA (0.5 mrad) for a 5-shot group on 300 feet, using M118LR ammunition or equivalent.[7][8][16] In 2010 maximum bullet dispersion requirement for M24 .300 Winchester Magnum corresponds[7][8] 1.4 MOA extreme spread for 5 shot group on 100 meters.[17]
Although accuracy standards for police rifles do not widely exist, rifles are frequently seen with accuracy levels from 0.5-1.5 MOA (0.2-0.5 mrad).[18] For typical policing situations an extreme spread accuracy level no better than 1 MOA (0.3 mrad) is usually all that is required. This is because police typically employ their rifles at short ranges.[19] At 100 m or less, a rifle with a relatively low accuracy of only 1 MOA (0.3 mrad) should be able to repeatedly hit a 3 cm (1.2 inch) target. A 3 cm diameter target is smaller than the brain stem which is targeted by police snipers for its quick killing effect.[20]
[edit] Maximum effective range
Cartridge Maximum effective range[21]
7.62x39mm
350 m
5.56x45mm
600 m [22]
7.62x51mm (.308 Winchester)
800 m
7.62x54mm R
800 m
.30-06 Springfield
800 m
7 mm Remington Magnum
900–1,100 m
.300 Winchester Magnum
900–1,200 m
.338 Lapua Magnum
1,200-1,500 m
.50 BMG (12.7x99mm NATO)
12.7x108mm (Russian)
1,500–2,000 m
14.5x114mm
1,800–2,300 m
The listed maximum ranges of commonly used military and police sniping cartridges are mainly consistent with the claims made by military organizations and materiel manufacturers, but not based on consistent or strictly scientific criteria. The problem is only the bullet interacts with the target (can also be a materiel target for a sniper bullet). This implies that the properties of the target, properties and velocity of the employed bullet (parts) and desired effect are the most relevant factors.
Unlike police sniper rifles, military sniper rifles tend to be employed at the greatest possible distances so that range advantages like the increased difficulty to spot and engage the sniper can be exploited. The most popular military sniper rifles (in terms of numbers in service) are chambered for 7.62 mm (0.30 inch) caliber ammunition, such as 7.62x51mm and 7.62x54mm R. Since sniper rifles of this class must compete with several other types of military weapons with similar range, snipers invariably must employ skilled fieldcraft to conceal their position.
The recent trend in specialized military sniper rifles is towards larger calibers that offer relatively favorable hit probabilities at greater range, such as the anti-personnel .338 Lapua Magnum cartridge and anti-materiel cartridges like the .50 BMG and the 14.5x114mm. This allows snipers to take fewer risks, and spend less time finding concealment when facing enemies that are not equipped with similar weapons.
Maximum range claims made by military organizations and materiel manufacturers regarding sniper weapon systems are not based on consistent or strictly scientific criteria. The problem is only the bullet interacts after a relatively long flight path with the target (can also be a materiel target for a sniper bullet). This implies that variables such as the minimal required hit probability, local atmospheric conditions, properties and velocity of the employed bullet (parts), properties of the target and the desired terminal effect are major relevant factors that determine the maximum effective range of the employed system.
Tuesday, March 6, 2012
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Thursday, March 1, 2012
NUCLEAR WAR HEAD
Nuclear weapon design
The first nuclear weapons,
though large, cumbersome and inefficient, provided the basic design building
blocks of all future weapons. Here the Gadget device is prepared for the
first nuclear test: Trinity.
Nuclear weapon designs are physical, chemical, and
engineering arrangements that cause the physics package[1] of a nuclear weapon to detonate. There are
three basic design types. In all three, the explosive energy of deployed
devices has been derived primarily from nuclear fission, not fusion.
§
Pure fission weapons were the first nuclear
weapons built and have so far been the only type ever used in warfare. The
active material is fissile uranium (U-235) or plutonium (Pu-239), explosively
assembled into a chain-reacting critical massby one
of two methods:
§
Gun assembly: one piece of fissile
uranium is fired at a fissile uranium target at the end of the weapon, similar
to firing a bullet down a gun barrel, achievingcritical mass when combined.
§
Implosion: a fissile mass of either
material (U-235, Pu-239, or a combination) is surrounded by high explosives
that compress the mass, resulting in criticality.
The implosion method can
use either uranium or plutonium as fuel. The gun method only uses uranium.
Plutonium is considered impractical for the gun method because of early
triggering due to Pu-240 contamination and due to its time constant for prompt critical fission being much shorter
than that of U-235.
§
Fusion-boosted fission weapons improve on the implosion
design. The high pressure and temperature environment at the center of an
exploding fission weapon compresses and heats a mixture of tritium and deuterium gas (heavy isotopes of hydrogen). The
hydrogen fuses to form helium and free neutrons. The
energy release from this fusion reaction is relatively negligible, but each
neutron starts a new fission chain reaction, speeding up the fission and greatly
reducing the amount of fissile material that would otherwise be wasted when
expansion of the fissile material stops the chain reaction. Boosting can more
than double the weapon's fission energy release.
§
Two-stage
thermonuclear weapons are essentially a chain of
fusion-boosted fission weapons, usually with only two stages in the chain. The
second stage, called the "secondary," is imploded by x-ray energy
from the first stage, called the "primary." This radiation implosion
is much more effective than the high-explosive implosion of the primary.
Consequently, the secondary can be many times more powerful than the primary,
without being bigger. The secondary can be designed to maximize fusion energy
release, but in most designs fusion is employed only to drive or enhance
fission, as it is in the primary. More stages could be added, but the result
would be a multi-megaton weapon too powerful to
serve any plausible purpose.[2] (The United States briefly
deployed a three-stage 25-megaton bomb, the B41, starting in
1961. Also in 1961, the Soviet Union tested, but did not deploy, a three-stage
50–100 megaton device, Tsar Bomba.)
Pure fission weapons
historically have been the first type to be built by a nation state. Large
industrial states with well-developed nuclear arsenals have two-stage
thermonuclear weapons, which are the most compact, scalable, and cost effective
option once the necessary industrial infrastructure is built. Pure fusion
weapons have not been built yet and it is not yet known how to build one. If
built, they would eliminate almost all of the radioactive fallout from a
nuclear explosion, although they would release huge amounts of neutrons.
Most known innovations in
nuclear weapon design originated in the United States, although some were later
developed independently by other states;[3] the following descriptions
feature U.S. designs.
In early news accounts,
pure fission weapons were called atomic bombs or A-bombs, a misnomer since the
energy comes only from the nucleus of the atom. Weapons involving fusion were
called hydrogen bombs or H-bombs, also a misnomer since their destructive
energy comes mostly from fission. Insiders favored the terms nuclear and
thermonuclear, respectively.
The term thermonuclear
refers to the high temperatures required to initiate fusion. It ignores the
equally important factor of pressure, which was considered secret at the time
the term became current. Many nuclear weapon terms are similarly inaccurate
because of their origin in a classified environment.
Nuclear reactions |
Nuclear fission splits
heavier atoms to form lighter atoms. Nuclear fusion bonds together lighter
atoms to form heavier atoms. Both reactions generate roughly a million times
more energy than comparable chemical reactions, making nuclear bombs a million times
more powerful than non-nuclear bombs, which a French patent claimed in May
1939.[4]
In some ways, fission and
fusion are opposite and complementary reactions, but the particulars are unique
for each. To understand how nuclear weapons are designed, it is useful to know
the important similarities and differences between fission and fusion. The
following explanation uses rounded numbers and approximations.[5]
Fission
When a free neutron hits
the nucleus of a fissile atom like uranium-235 ( 235U), the uranium splits into
two smaller atoms called fission fragments, plus more neutrons. Fission can be
self-sustaining because it produces more neutrons of the speed required to
cause new fissions.
The uranium atom can split
any one of dozens of different ways, as long as the atomic weights add up to
236 (uranium plus the extra neutron). The following equation shows one possible
split, namely intostrontium-95 ( 95Sr), xenon-139 (139Xe), and two
neutrons (n), plus energy:[6]
The immediate energy
release per atom is about 180 million electron volts (MeV), i.e. 74 TJ/kg. Only
7% of this is gamma radiation and kinetic energy of fission neutrons. The
remaining 93% is kinetic energy (or energy of motion) of the charged fission
fragments, flying away from each other mutually repelled by the positive charge
of their protons (38 for strontium, 54 for xenon). This initial kinetic energy
is 67 TJ/kg, imparting an initial speed of about 12,000 kilometers per second.
However, the charged fragments' high electric charge causes many inelastic
collisions with nearby nuclei, and thus these fragments remain trapped inside
the bomb's uranium pit and tamper until their motion is converted into x-ray
heat, a process which takes about a millionth of a second (a microsecond). By
this time, the material representing the core and tamper of the bomb is several
meters in diameter and has been converted to plasma at a temperature of tens of
millions of degrees.
This x-ray energy produces
the blast and fire which are normally the purpose of a nuclear explosion.
After the fission products
slow down, they remain radioactive. Being new elements with too many neutrons,
they eventually become stable by means of beta decay, converting neutrons into
protons by throwing off electrons and gamma rays. Each fission product nucleus
decays between one and six times, average three times, producing a variety of
isotopes of different elements, some stable, some highly radioactive, and
others radioactive with half-lives up to 200,000 years.[7] In reactors, the
radioactive products are the nuclear waste in spent fuel. In bombs, they become
radioactive fallout, both local and global.
Meanwhile, inside the
exploding bomb, the free neutrons released by fission carry away about 3% of
the initial fission energy. Neutron kinetic energy adds to the blast energy of
a bomb, but not as effectively as the energy from charged fragments, since
neutrons are not slowed as quickly. The main contribution of fission neutrons
to the bomb's power, is to initiate other fissions. Over half of the neutrons
escape the bomb core, but the rest strike nearby U-235 nuclei causing them to
fission in an exponentially growing chain reaction (1, 2, 4, 8, 16, etc.).
Starting from one, the number of fissions can theoretically double a hundred
times in a microsecond, which could consume all uranium or plutonium up to
hundreds of tons by the hundredth link in the chain. In practice, bombs do not
contain such amounts of uranium or plutonium, and typically (in a modern
weapon) about 2 to 2.5 kilograms of plutonium, representing 40 to 50 kilotons
of energy, undergoes fission before the core blows itself apart.
Holding an exploding bomb
together is the greatest challenge of fission weapon design. The heat of fission
rapidly expands the uranium pit, spreading apart the target nuclei and making
space for the neutrons to escape without being captured. The chain reaction
stops.
Materials which can sustain
a chain reaction are called fissile. The two
fissile materials used in nuclear weapons are: U-235, also known ashighly enriched uranium (HEU), oralloy (Oy) meaning
Oak Ridge Alloy, or 25 (the last digits of the atomic number, which is 92 for
uranium, and the atomic weight, here 235, respectively); and Pu-239, also known
as plutonium, or 49 (from 94 and 239).
Uranium's most common
isotope, U-238, is fissionable but not fissile (meaning that it cannot sustain
a chain reaction by itself but can be made to fission, specifically by fast neutrons from a fusion reaction).
Its aliases include natural or unenriched uranium, depleted uranium(DU),
tubealloy (Tu), and 28. It cannot sustain a chain reaction, because its own
fission neutrons are not powerful enough to cause more U-238 fission. However,
the neutrons released by fusion will fission U-238. This
U-238 fission reaction produces most of the destructive energy in a typical
two-stage thermonuclear weapon.
Fusion produces neutrons
which dissipate energy from the reaction.[8] In weapons, the most
important fusion reaction is called the D-T reaction. Using the heat and
pressure of fission, hydrogen-2, or deuterium ( 2D), fuses with hydrogen-3,
or tritium ( 3T), to form helium-4 (4He)
plus one neutron (n) and energy:[9]
Notice that the total
energy output, 17.6 MeV, is one tenth of that with fission, but the ingredients
are only one-fiftieth as massive, so the energy output per unit mass is
greater. However, in this fusion reaction 80% of the energy, or 14 MeV, is in
the motion of the neutron which, having no electric charge and being almost as
massive as the hydrogen nuclei that created it, can escape the scene without
leaving its energy behind to help sustain the reaction – or to generate x-rays
for blast and fire.
The only practical way to
capture most of the fusion energy is to trap the neutrons inside a massive
bottle of heavy material such as lead, uranium, or plutonium. If the 14 MeV
neutron is captured by uranium (either type: 235 or 238) or plutonium, the result
is fission and the release of 180 MeV of fission energy, multiplying the energy
output tenfold.
Fission is thus necessary
to start fusion, helps to sustain fusion, and captures and multiplies the
energy released in fusion neutrons. In the case of a neutron bomb (see below)
the last-mentioned does not apply since the escape of neutrons is the
objective.
A third important nuclear
reaction is the one that creates tritium, essential
to the type of fusion used in weapons and, incidentally, the most expensive
ingredient in any nuclear weapon. Tritium, or hydrogen-3, is made by bombarding lithium-6 ( 6Li) with a neutron (n) to producehelium-4 ( 4He) plus tritium ( 3T) and energy:[9]
A nuclear reactor is
necessary to provide the neutrons. The industrial-scale conversion of lithium-6
to tritium is very similar to the conversion of uranium-238 into plutonium-239.
In both cases the feed material is placed inside a nuclear reactor and removed
for processing after a period of time. In the 1950s, when reactor capacity was
limited, the production of tritium and plutonium were in direct competition.
Every atom of tritium in a weapon replaced an atom of plutonium that could have
been produced instead.
The fission of one
plutonium atom releases ten times more total energy than the fusion of one
tritium atom, and it generates fifty times[citation needed] more blast and fire. For
this reason, tritium is included in nuclear weapon components only when it
causes more fission than its production sacrifices, namely in the case of
fusion-boosted fission.
However, an exploding
nuclear bomb is a nuclear reactor. The above reaction can take place
simultaneously throughout the secondary of a two-stage thermonuclear weapon,
producing tritium in place as the device explodes.
Of the three basic types of
nuclear weapon, the first, pure fission, uses the first of the three nuclear
reactions above. The second, fusion-boosted fission, uses the first two. The
third, two-stage thermonuclear, uses all three.
The first task of a nuclear
weapon design is to rapidly assemble a supercritical mass of fissile uranium or
plutonium. A supercritical mass is one in which the percentage of
fission-produced neutrons captured by another fissile nucleus is large enough
that each fission event, on average, causes more than one additional fission
event.
Once the critical mass is
assembled, at maximum density, a burst of neutrons is supplied to start as many
chain reactions as possible. Early weapons used an "urchin"
inside the pit containing polonium-210 and beryllium separated by a thin
barrier. Implosion of the pit crushed the urchin, mixing the two metals,
thereby allowing alpha particles from the polonium to interact with beryllium
to produce free neutrons. In modern weapons, the neutron generator is a
high-voltage vacuum tube containing a particle
accelerator which bombards a deuterium/tritium-metal
hydride target with deuterium and tritium ions. The resulting small-scale
fusion produces neutrons at a protected location
outside the physics package, from which they penetrate the pit. This method
allows better control of the timing of chain reaction initiation.
The critical mass of an
uncompressed sphere of bare metal is 110 lb (50 kg) for uranium-235
and 35 lb (16 kg) for delta-phase plutonium-239. In practical
applications, the amount of material required for criticallity is modified by
shape, purity, density, and the proximity to neutron-reflecting material,
all of which affect the escape or capture of neutrons.
To avoid a chain reaction
during handling, the fissile material in the weapon must be sub-critical before
detonation. It may consist of one or more components containing less than one
uncompressed critical mass each. A thin hollow shell can have more than the
bare-sphere critical mass, as can a cylinder, which can be arbitrarily long
without ever reaching criticallity.
A tamper is an optional layer of
dense material surrounding the fissile material. Due to its inertia it delays the expansion of
the reacting material, increasing the efficiency of the weapon. Often the same
layer serves both as tamper and as neutron reflector.
Little Boy, the
Hiroshima bomb, used 141 lb (64 kg) of uranium with an average
enrichment of around 80%, or 112 lb (51 kg) of U-235, just about the
bare-metal critical mass. (See Little
Boy article for a detailed drawing.) When
assembled inside its tamper/reflector of tungsten carbide,
the 141 lb (64 kg) was more than twice critical mass. Before the
detonation, the uranium-235 was formed into two sub-critical pieces, one of
which was later fired down a gun barrel to join the other, starting the atomic
explosion. About 1% of the uranium underwent fission;[10] the remainder, representing
most of the entire wartime output of the giant factories at Oak Ridge,
scattered uselessly.[11] The half life of
uranium-235 is 704 million years.
The inefficiency was caused
by the speed with which the uncompressed fissioning uranium expanded and became
sub-critical by virtue of decreased density. Despite its inefficiency, this
design, because of its shape, was adapted for use in small-diameter,
cylindrical artillery shells (a gun-type warhead fired from the barrel of a
much larger gun). Such warheads were deployed by the United States until 1992,
accounting for a significant fraction of the U-235 in the arsenal, and were
some of the first weapons dismantled to comply with treaties limiting warhead
numbers. The rationale for this decision was undoubtedly a combination of the
lower yield and grave safety issues associated with the gun-type design.
Fat Man, the
Nagasaki bomb, used 13.6 lb (6.2 kg, about 12 fluid ounces or 350 ml
in volume) of Pu-239, which is only 41% of bare-sphere critical mass. (See Fat Man article for a detailed
drawing.) Surrounded by a U-238 reflector/tamper, the pit was brought close to
critical mass by the neutron-reflecting properties of the U-238. During
detonation, criticality was achieved by implosion. The plutonium pit was
squeezed to increase its density by simultaneous detonation of the conventional
explosives placed uniformly around the pit. The explosives were detonated by
multiple exploding-bridgewire detonators. It is estimated that
only about 20% of the plutonium underwent fission; the rest, about 11 lb
(5.0 kg), was scattered.
An implosion shock wave
might be of such short duration that only a fraction of the pit is compressed
at any instant as the wave passes through it.
Flash X-Ray images of the
converging shock waves formed during a test of the high explosive lens system.
A pusher shell made out of
low density metal—such as aluminum,beryllium, or an alloy of the two metals (aluminum
being easier and safer to shape, and is two orders of magnitude cheaper; beryllium
for its high-neutron-reflective capability) —may be needed. The pusher is
located between the explosive lens and the tamper. It works by reflecting some
of the shock wave backwards, thereby having the effect of lengthening its
duration. Fat Man used an aluminum pusher.
The key to Fat Man's
greater efficiency was the inward momentum of the massive U-238 tamper (which
did not undergo fission). Once the chain reaction started in the plutonium, the
momentum of the implosion had to be reversed before expansion could stop the
fission. By holding everything together for a few hundred nanoseconds more, the
efficiency was increased.
The core of an implosion
weapon – the fissile material and any reflector or tamper bonded to it – is
known as the pit. Some weapons tested
during the 1950s used pits made with U-235 alone, or in composite with plutonium,[12] but all-plutonium pits are
the smallest in diameter and have been the standard since the early 1960s.
Casting and then machining
plutonium is difficult not only because of its toxicity, but also because
plutonium has many different metallic phases, also known as allotropes. As
plutonium cools, changes in phase result in distortion and cracking. This
distortion is normally overcome by alloying it with 3–3.5 molar% (0.9–1.0% by
weight) gallium,
forming a plutonium-gallium alloy, which causes it to take up
its delta phase over a wide temperature range.[13] When cooling from molten it
then suffers only a single phase change, from epsilon to delta, instead of the
four changes it would otherwise pass through. Other trivalent metals would also work, but
gallium has a small neutronabsorption cross section and helps protect the
plutonium against corrosion. A
drawback is that gallium compounds themselves are corrosive and so if the
plutonium is recovered from dismantled weapons for conversion to plutonium dioxide for power reactors,
there is the difficulty of removing the gallium.
Because plutonium is
chemically reactive it is common to plate the completed pit with a thin layer
of inert metal, which also reduces the toxic hazard.[14] The gadget used galvanic silver
plating; afterwards, nickel deposited from nickel
tetracarbonyl vapors was used,[14] but goldis now preferred.[citation needed]
The first improvement on
the Fat Man design was to put an air space between the tamper and the pit to
create a hammer-on-nail impact. The pit, supported on a hollow cone inside the
tamper cavity, was said to be levitated. The three tests of Operation
Sandstone, in 1948, used Fat Man designs with levitated pits. The
largest yield was 49 kilotons, more than twice the yield of the unlevitated Fat
Man.[15]
It was immediately clear
that implosion was the best design for a fission weapon. Its only drawback
seemed to be its diameter. Fat Man was 5 feet (1.5 m) wide vs 2 feet
(60 cm) for Little Boy.
Eleven years later,
implosion designs had advanced sufficiently that the 5-foot
(1.5 m)-diameter sphere of Fat Man had been reduced to a 1-foot
(0.30 m)-diameter cylinder 2 feet (0.61 m) long, the Swan device.
The Pu-239 pit of Fat Man
was only 3.6 inches (9 cm) in diameter, the size of a softball. The
bulk of Fat Man's girth was the implosion mechanism, namely concentric layers
of U-238, aluminum, and high explosives. The key to reducing that girth was the
two-point implosion design.
A very inefficient
implosion design is one that simply reshapes an ovoid into a sphere, with
minimal compression. In linear implosion, an untamped, solid, elongated mass of
Pu-239, larger than critical mass in a sphere, is embedded inside a cylinder of
high explosive with a detonator at each end.[16]
Detonation makes the pit
critical by driving the ends inward, creating a spherical shape. The shock may
also change plutonium from delta to alpha phase, increasing its density by 23%,
but without the inward momentum of a true implosion. The lack of compression
makes it inefficient, but the simplicity and small diameter make it suitable
for use in artillery shells and atomic demolition munitions – ADMs – also known
as backpack or suitcase nukes.
All such low-yield
battlefield weapons, whether gun-type U-235 designs or linear implosion Pu-239
designs, pay a high price in fissile material in order to achieve diameters
between six and ten inches (254 mm).
A more efficient two-point
implosion system uses two high explosive lenses and a hollow pit.
A hollow plutonium pit was
the original plan for the 1945 Fat Man bomb, but there was not enough time to
develop and test the implosion system for it. A simpler solid-pit design was
considered more reliable, given the time restraint, but it required a heavy
U-238 tamper, a thick aluminium pusher, and three tons of high explosives.
After the war, interest in
the hollow pit design was revived. Its obvious advantage is that a hollow shell
of plutonium, shock-deformed and driven inward toward its empty center, would
carry momentum into its violent assembly as a solid sphere. It would be
self-tamping, requiring a smaller U-238 tamper, no aluminium pusher and less
high explosive.
The Fat Man bomb had two
concentric, spherical shells of high explosives, each about 10 inches
(25 cm) thick. The inner shell drove the implosion. The outer shell
consisted of a soccer-ball pattern of 32 high explosive
lenses, each of which converted the convex wave from its detonator into a
concave wave matching the contour of the outer surface of the inner shell. If
these 32 lenses could be replaced with only two, the high explosive sphere
could become an ellipsoid (prolate spheroid) with a much smaller diameter.
A good illustration of
these two features is a 1956 drawing from the Swedish nuclear weapon program (which was terminated
before it produced a test explosion). The drawing shows the essential elements
of the two-point hollow-pit design.
There are similar drawings
in the open literature that come from the post-war German nuclear bomb program,
which was also terminated, and from the French program, which produced an
arsenal.
The mechanism of the high
explosive lens (diagram item #6) is not shown in the Swedish drawing, but a
standard lens made of fast and slow high explosives, as in Fat Man, would be
much longer than the shape depicted. For a single high explosive lens to
generate a concave wave that envelops an entire hemisphere, it must either be
very long or the part of the wave on a direct line from the detonator to the
pit must be slowed dramatically.
A slow high explosive is
too fast, but the flying plate of an "air lens" is not. A metal
plate, shock-deformed, and pushed across an empty space can be designed to move
slowly enough.[17][18] A two-point implosion
system using air lens technology can have a length no more than twice its
diameter, as in the Swedish diagram above.
The next step in
miniaturization was to speed up the fissioning of the pit to reduce the minimum
inertial confinement time. The hollow pit provided an ideal location to
introduce fusion for the boosting of fission. A 50–50 mixture of tritium and
deuterium gas, pumped into the pit during arming, will fuse into helium and
release free neutrons soon after fission begins. The neutrons will start a
large number of new chain reactions while the pit is still critical or nearly
critical.
Once the hollow pit is
perfected, there is little reason not to boost.
The concept of
fusion-boosted fission was first tested on May 25, 1951, in the Item shot of Operation
Greenhouse, Eniwetok, yield 45.5
kilotons.
Boosting reduces diameter
in three ways, all the result of faster fission:
§
Since the compressed pit does not need to be held
together as long, the massive U-238 tamper can be replaced by a light-weight
beryllium shell (to reflect escaping neutrons back into the pit). The diameter
is reduced.
§
The mass of the pit can be reduced by half, without
reducing yield. Diameter is reduced again.
§
Since the mass of the metal being imploded (tamper plus
pit) is reduced, a smaller charge of high explosive is needed, reducing
diameter even further.
Since boosting is required
to attain full design yield, any reduction in boosting reduces yield. Boosted
weapons are thus variable-yieldweapons.
Yield can be reduced any time before detonation, simply by putting less than
the full amount of tritium into the pit during the arming procedure.
The first device whose
dimensions suggest employment of all these features (two-point, hollow-pit,
fusion-boosted implosion) was the Swandevice. It had a cylindrical shape with a
diameter of 11.6 inches (29.5 cm) and a length of 22.8 inches
(58 cm).
It was first tested
standalone and then as the primary of a two-stage thermonuclear device during operation Redwing.
It was weaponized as the Robin primary and became the first
off-the-shelf, multi-use primary, and the prototype for all that followed.
After the success of Swan,
11 or 12 inches (300 mm) seemed to become the standard diameter of boosted
single-stage devices tested during the 1950s. Length was usually twice the
diameter, but one such device, which became the W54 warhead, was closer to a
sphere, only 15 inches (380 mm) long. It was tested two dozen times in the
1957–62 period before being deployed. No other design had such a long string of
test failures. Since the longer devices tended to work correctly on the first
try, there must have been some difficulty[original research?] in flattening the two high
explosive lenses enough to achieve the desired length-to-width ratio.
One of the applications of
the W54 was the Davy Crockett XM-388 recoilless rifle projectile,
shown here in comparison to its Fat Man predecessor, dimensions in inches.
Another benefit of
boosting, in addition to making weapons smaller, lighter, and with less fissile
material for a given yield, is that it renders weapons immune to radiation
interference (RI). It was discovered in the mid-1950s that plutonium pits would
be particularly susceptible to partial predetonation if exposed to the intense
radiation of a nearby nuclear explosion (electronics might also be damaged, but
this was a separate problem). RI was a particular problem before effective early
warning radar systems because a first strike attack might
make retaliatory weapons useless. Boosting reduces the amount of plutonium
needed in a weapon to below the quantity which would be vulnerable to this
effect.
Pure fission or
fusion-boosted fission weapons can be made to yield hundreds of kilotons, at
great expense in fissile material and tritium, but by far the most efficient
way to increase nuclear weapon yield beyond ten or so kilotons is to tack on a
second independent stage, called a secondary.
Ivy Mike, the first
two-stage thermonuclear detonation, 10.4 megatons, November 1, 1952.
In the 1940s, bomb
designers at Los Alamos thought the secondary would
be a canister of deuterium in liquified or hydride form. The fusion reaction
would be D-D, harder to achieve than D-T, but more affordable. A fission bomb
at one end would shock-compress and heat the near end, and fusion would
propagate through the canister to the far end. Mathematical simulations showed
it wouldn't work, even with large amounts of prohibitively expensive tritium
added in.
The entire fusion fuel
canister would need to be enveloped by fission energy, to both compress and
heat it, as with the booster charge in a boosted primary. The design
breakthrough came in January 1951, when Edward Teller and StanisĆaw Ulam invented radiation
implosion—for nearly three decades known publicly only as the Teller-Ulam H-bomb secret.
The concept of radiation
implosion was first tested on May 9, 1951, in the George shot ofOperation
Greenhouse, Eniwetok, yield 225 kilotons. The first full test was on
November 1, 1952, the Mike shot of Operation Ivy,
Eniwetok, yield 10.4 megatons.
In radiation implosion, the
burst of X-ray energy coming from an exploding primary is captured and
contained within an opaque-walled radiation channel which surrounds the nuclear
energy components of the secondary. The radiation quickly turns the plastic
foam that had been filling the channel into a plasma which is mostly
transparent to X-rays, and the radiation is absorbed in the outermost layers of
the pusher/tamper surrounding the secondary, which ablates and applies a
massive force[19] (much like an inside out
rocket engine) causing the fusion fuel capsule to implode much like the pit of
the primary. As the secondary implodes a fissile "spark plug" at its
center ignites and provides heat which enables the fusion fuel to ignite as
well. The fission and fusion chain reactions exchange neutrons with each other
and boost the efficiency of both reactions. The greater implosive force,
enhanced efficiency of the fissile "spark plug" due to boosting via
fusion neutrons, and the fusion explosion itself provides significantly greater
explosive yield from the secondary despite often not being much larger than the
primary.
Ablation mechanism firing
sequence.
1. Warhead before firing. The
nested spheres at the top are the fission primary; the cylinders below are the
fusion secondary device.
3. The primary's fission
reaction has run to completion, and the primary is now at several million
degrees and radiating gamma and hard X-rays, heating up the inside of the hohlraum and the shield and
secondary's tamper.
4. The primary's reaction is
over and it has expanded. The surface of the pusher for the secondary is now so
hot that it is also ablating or expanding away, pushing the rest of the
secondary (tamper, fusion fuel, and fissile spark plug) inwards. The spark plug
starts to fission. Not depicted: the radiation case is also ablating and expanding
outwards (omitted for clarity of diagram).
5. The secondary's fuel has
started the fusion reaction and shortly will burn up. A fireball starts to
form.
For example, for the
Redwing Mohawk test on July 3, 1956, a secondary called the Flute was attached
to the Swan primary. The Flute was 15 inches (38 cm) in diameter and
23.4 inches (59 cm) long, about the size of the Swan. But it weighed
ten times as much and yielded 24 times as much energy (355 kilotons, vs 15
kilotons).
Equally important, the
active ingredients in the Flute probably cost no more than those in the Swan.
Most of the fission came from cheap U-238, and the tritium was manufactured in
place during the explosion. Only the spark plug at the axis of the secondary
needed to be fissile.
A spherical secondary can
achieve higher implosion densities than a cylindrical secondary, because
spherical implosion pushes in from all directions toward the same spot.
However, in warheads yielding more than one megaton, the diameter of a
spherical secondary would be too large for most applications. A cylindrical
secondary is necessary in such cases. The small, cone-shaped re-entry vehicles
in multiple-warhead ballistic missiles after 1970 tended to have warheads with
spherical secondaries, and yields of a few hundred kilotons.
As with boosting, the
advantages of the two-stage thermonuclear design are so great that there is
little incentive not to use it, once a nation has mastered the technology.
In engineering terms,
radiation implosion allows for the exploitation of several known features of
nuclear bomb materials which heretofore had eluded practical application. For
example:
§
The best way to store deuterium in a reasonably dense
state is to chemically bond it with lithium, as lithium deuteride. But the
lithium-6 isotope is also the raw material for tritium production, and an
exploding bomb is a nuclear reactor. Radiation implosion will hold everything
together long enough to permit the complete conversion of lithium-6 into
tritium, while the bomb explodes. So the bonding agent for deuterium permits
use of the D-T fusion reaction without any pre-manufactured tritium being
stored in the secondary. The tritium production constraint disappears.
§
For the secondary to be imploded by the hot,
radiation-induced plasma surrounding it, it must remain cool for the first
microsecond, i.e., it must be encased in a massive radiation (heat) shield. The
shield's massiveness allows it to double as a tamper, adding momentum and
duration to the implosion. No material is better suited for both of these jobs
than ordinary, cheap uranium-238, which also happens to undergo fission when
struck by the neutrons produced by D-T fusion. This casing, called the pusher,
thus has three jobs: to keep the secondary cool, to hold it, inertially, in a
highly compressed state, and, finally, to serve as the chief energy source for
the entire bomb. The consumable pusher makes the bomb more a uranium fission
bomb than a hydrogen fusion bomb. It is noteworthy that insiders never used the
term hydrogen bomb.[20]
§
Finally, the heat for fusion ignition comes not from the
primary but from a second fission bomb called the spark plug, embedded in the
heart of the secondary. The implosion of the secondary implodes this spark
plug, detonating it and igniting fusion in the material around it, but the
spark plug then continues to fission in the neutron-rich environment until it
is fully consumed, adding significantly to the yield.[21]
The initial impetus behind
the two-stage weapon was President Truman's 1950 promise to build a 10-megaton
hydrogen superbomb as the U.S. response to the 1949 test of the first Soviet
fission bomb. But the resulting invention turned out to be the cheapest and
most compact way to build small nuclear bombs as well as large ones, erasing
any meaningful distinction between A-bombs and H-bombs, and between boosters
and supers. All the best techniques for fission and fusion explosions are
incorporated into one all-encompassing, fully scalable design principle. Even
six-inch (152 mm) diameter nuclear artillery shells can be two-stage
thermonuclears.
In the ensuing fifty years,
nobody has come up with a better way to build a nuclear bomb. It is the design
of choice for the United States,Russia, the United Kingdom, China, and France, the five thermonuclear powers. The
other nuclear-armed nations, Israel, India, Pakistan, and North Korea, probably
have single-stage weapons, possibly boosted.[21]
In a two-stage
thermonuclear weapon the energy from the primary impacts the secondary. An
essential energy transfer modulator called the interstage, between the primary
and the secondary, protects the secondary's fusion fuel from heating too
quickly, which could cause it to explode in a conventional (and small) heat
explosion before the fission and fusion reactions get a chance to start.
There is very little
information in the open literature about the mechanism of the interstage. Its
first mention in a U.S. government document formally released to the public
appears to be a caption in a recent graphic promoting the Reliable Replacement
Warhead Program. If built, this new design would replace "toxic, brittle
material" and "expensive 'special' material" in the interstage.[22] This statement suggests the
interstage may contain beryllium to moderate the flux of neutrons from the
primary, and perhaps something to absorb and re-radiate the x-rays in a
particular manner.[23] There is also some
speculation that this interstage material, which may be code-named FOGBANK might be an aerogel, possibly
doped with beryllium and/or other substances.[24]
The interstage and the
secondary are encased together inside a stainless steel membrane to form the
canned subassembly (CSA), an arrangement which has never been depicted in any
open-source drawing.[25] The most detailed
illustration of an interstage shows a British thermonuclear weapon with a
cluster of items between its primary and a cylindrical secondary. They are
labeled "end-cap and neutron focus lens," "reflector/neutron gun
carriage," and "reflector wrap." The origin of the drawing,
posted on the internet by Greenpeace, is uncertain, and there is no
accompanying explanation.[26]
While every nuclear weapon
design falls into one of the above categories, specific designs have
occasionally become the subject of news accounts and public discussion, often
with incorrect descriptions about how they work and what they do. Examples:
While all modern nuclear
weapons (fission and fusion alike) make some use of D-T fusion, in the public
perception hydrogen bombs are multi-megaton devices a thousand times more
powerful than Hiroshima's Little Boy. Such high-yield bombs are actually two-stage
thermonuclears, scaled up to the desired yield, with uranium fission, as usual,
providing most of their energy.
The idea of the hydrogen
bomb first came to public attention in 1949, when prominent scientists openly
recommended against building nuclear bombs more powerful than the standard
pure-fission model, on both moral and practical grounds. Their assumption was
that critical mass considerations would limit the potential size of fission
explosions, but that a fusion explosion could be as large as its supply of
fuel, which has no critical mass limit. In 1949, the Soviets exploded their
first fission bomb, and in 1950 President Truman ended the H-bomb debate by
ordering the Los Alamos designers to build one.
In 1952, the 10.4-megaton Ivy Mike explosion was announced as
the first hydrogen bomb test, reinforcing the idea that hydrogen bombs are a
thousand times more powerful than fission bombs.
In 1954, J.
Robert Oppenheimer was labeled a hydrogen bomb
opponent. The public did not know there were two kinds of hydrogen bomb
(neither of which is accurately described as a hydrogen bomb). On May 23, when
his security clearance was revoked, item three of the four public findings against
him was "his conduct in the hydrogen bomb program." In 1949,
Oppenheimer had supported single-stage fusion-boosted fission bombs, to
maximize the explosive power of the arsenal given the trade-off between
plutonium and tritium production. He opposed two-stage thermonuclear bombs
until 1951, when radiation implosion, which he called "technically
sweet", first made them practical. The complexity of his position was not
revealed to the public until 1976, nine years after his death.[27]
When ballistic missiles
replaced bombers in the 1960s, most multi-megaton bombs were replaced by
missile warheads (also two-stage thermonuclears) scaled down to one megaton or
less.
The first effort to exploit
the symbiotic relationship between fission and fusion was a 1940s design that
mixed fission and fusion fuel in alternating thin layers. As a single-stage
device, it would have been a cumbersome application of boosted fission. It
first became practical when incorporated into the secondary of a two-stage
thermonuclear weapon.[28]
The U.S. name, Alarm Clock,
was a nonsense code name. The Russian name for the same design was more
descriptive: Sloika (Russian:ĐĄĐ»ĐŸĐčĐșа), a layered pastry cake. A
single-stage Soviet Sloika was tested on August 12, 1953. No single-stage U.S.
version was tested, but the Union shot of Operation Castle,
April 26, 1954, was a two-stage thermonuclear code-named Alarm Clock. Its
yield, at Bikini, was 6.9
megatons.
Because the Soviet Sloika
test used dry lithium-6 deuteride eight months before the first U.S. test to
use it (Castle Bravo, March 1, 1954), it was sometimes claimed that the USSR
won the H-bomb race. (The 1952 U.S. Ivy Mike test used cryogenically cooled
liquid deuterium as the fusion fuel in the secondary, and employed the D-D
fusion reaction.) Besides, that was the first aircraft deployable design, even
though it was not deployed during the test. However, the first Soviet test to
use a radiation-imploded secondary, the essential feature of a true H-bomb, was
on November 23, 1955, three years after Ivy Mike. In fact, real work on
implosion scheme in the Soviet Union only commenced in the very early 1953,
several months after successful testing of Sloika.
Bassoon, the prototype for
a 3.5-megaton clean bomb or a 25-megaton dirty bomb. Dirty
version shown here, before its 1956 test. The two attachments on the left are light pipes - see below for
elaboration.
On March 1, 1954, the
largest-ever U.S. nuclear test explosion, the 15-megaton Bravo shot of Operation Castle at
Bikini, delivered a promptly lethal dose of fission-product fallout to more
than 6,000 square miles (16,000 km2) of Pacific Ocean surface.[29] Radiation injuries to
Marshall Islanders and Japanese fishermen made that fact public and revealed
the role of fission in hydrogen bombs.
In response to the public
alarm over fallout, an effort was made to design a clean multi-megaton weapon,
relying almost entirely on fusion. The energy produced by the fissioning ofunenriched natural Uranium,
when utilized as the tamper material in the secondary and subsequent stages in
the Teller-Ulam design, can evidently dwarf the fusion yield output, as was the
case in the Castle Bravo test; realising that a non fissionable tamper material is an
essential requirement in a 'clean' bomb, it is clear that in such a bomb there
will now be a relatively massive amount of material that does not undergo any
mass-to-energy conversions whatsoever. So for a given weight, 'dirty' weapons
with fissionable tampers are much more
powerful than a 'clean' weapon (or, for an equal yield, they are much lighter).
The earliest known incidence of a three-stage device being tested, with the
third stage, called the tertiary, being ignited by the secondary, was May 27,
1956 in the Bassoon device. This device was tested in the Zuni shot of Operation Redwing.
This shot utilized non fissionable tampers, a relatively
nuclear inert substitute material such as tungsten or lead was used, its yield
was 3.5 megatons, 85% fusion and only 15% fission. The public records for
devices that produced the highest proportion of their yield via fusion-only
reactions are the 57 megaton, Tsar bombaat 97%
Fusion,[30] the 9.3 megaton Hardtack
Poplar test at 95.2%,[31] and the 4.5 megatonRedwing Navajo test at 95% fusion.[32]
On July 19, 1956, AEC
Chairman Lewis Strauss said that the Redwing Zuni shot clean bomb test
"produced much of importance ... from a humanitarian aspect."
However, less than two days after this announcement the dirty version of
Bassoon, called Bassoon Prime, with auranium-238 tamper in place, was tested
on a barge off the coast of Bikini Atoll as the Redwing Tewa shot.
The Bassoon Prime produced a 5-megaton yield, of which 87% came from fission.
Data obtained from this test, and others culminated in the eventual deployment
of the highest yielding US nuclear weapon known, and as a side, the highest Yield-to-weight
weapon ever made a three-stage thermonuclear
weapon, with a maximum 'dirty' yield of 25-megatons designated as the Mark-41 bomb, which
was to be carried by U.S. Air Force bombers until it was decommissioned, this
weapon was never fully tested.
As such, high-yield clean
bombs appear to have been a public relations exercise. The actual deployed
weapons were the dirty versions, which maximized yield for the same size
device. However, newer 4th and 5th Generation nuclear weapons designs including pure
fusion weapon and antimatter catalyzed nuclear pulse propulsion like devices[33] are being studied
extensively by the 5 largest nuclear weapon states.[34][35]
A fictional doomsday bomb,
made popular by Nevil Shute's 1957 novel,
and subsequent 1959 movie, On the Beach, the cobalt bomb was a
hydrogen bomb with a jacket of cobalt metal. The neutron-activated cobalt would
supposedly have maximized the environmental damage from radioactive fallout.
These bombs were popularized in the 1964 film Dr. Strangelove or: How I
Learned to Stop Worrying and Love the Bomb. The element added to the
bombs is referred to in the film as 'cobalt-thorium G'
Such "salted"
weapons were requested by the U.S. Air Force and seriously investigated,
possibly built and tested, but not deployed. In the 1964 edition of the DOD/AEC
book The Effects of Nuclear
Weapons, a new section titled Radiological Warfare
clarified the issue.[36] Fission products are as
deadly as neutron-activated cobalt. The standard high-fission thermonuclear
weapon is automatically a weapon of radiological warfare, as dirty as a cobalt
bomb.
Initially, gamma radiation
from the fission products of an equivalent size fission-fusion-fission bomb are
much more intense than Co-60: 15,000 times
more intense at 1 hour; 35 times more intense at 1 week; 5 times more intense
at 1 month; and about equal at 6 months. Thereafter fission drops off rapidly
so that Co-60 fallout is 8 times more intense than fission at 1 year and 150
times more intense at 5 years. The very long-lived isotopes produced by fission
would overtake the 60Co again after about 75
years.[37]
In 1954, to explain the
surprising amount of fission-product fallout produced by hydrogen bombs, Ralph
Lapp coined the term fission-fusion-fission to describe a process inside what
he called a three-stage thermonuclear weapon. His process explanation was correct,
but his choice of terms caused confusion in the open literature. The stages of
a nuclear weapon are not fission, fusion, and fission. They are the primary,
the secondary, and, in one exceptionally powerful weapon, the tertiary. Each of
these stages employs fission, fusion, and fission.
A neutron bomb, technically
referred to as an enhanced radiation weapon (ERW), is a type of tactical
nuclear weapon designed specifically to release a large portion of its energy
as energetic neutron radiation. This contrasts with standard thermonuclear weapons,
which are designed to capture this intense neutron radiation to increase its
overall explosive yield. In terms of yield, ERWs typically produce about
one-tenth that of a fission-type atomic weapon. Even with their significantly
lower explosive power, ERWs are still capable of much greater destruction than
any conventional bomb. Meanwhile, relative to other nuclear weapons, damage is
more focused on biological material than on material infrastructure (though
extreme blast and heat effects are not eliminated).
Officially known as
enhanced radiation weapons, ERWs are more accurately described as suppressed
yield weapons. When the yield of a nuclear weapon is less than one kiloton, its
lethal radius from blast, 700 m (2300 ft), is less than that from its
neutron radiation. However, the blast is more than potent enough to destroy
most structures, which are less resistant to blast effects than even
unprotected human beings. Blast pressures of upwards of 20 PSI are survivable,
whereas most buildings will collapse with a pressure of only 5 PSI.
Commonly misconceived as a
weapon designed to kill populations and leave infrastructure intact, these
bombs (as mentioned above) are still very capable of leveling buildings over a
large radius. The intent of their design was to kill tank crews – tanks giving
excellent protection against blast and heat, surviving (relatively) very close
to a detonation. And with the Soviets' vast tank battalions during the Cold
War, this was the perfect weapon to counter them. The neutron radiation could
instantly incapacitate a tank crew out to roughly the same distance that the
heat and blast would incapacitate an unprotected human (depending on design).
The tank chassis would also be rendered highly radioactive (temporarily)
preventing its re-use by a fresh crew.
Neutron weapons were also
intended for use in other applications, however. For example, they are
effective in anti-nuclear defenses – the neutron flux being capable of
neutralising an incoming warhead at a greater range than heat or blast. Nuclear
warheads are very resistant to physical damage, but are very difficult to
harden against extreme neutron flux.
Energy distribution of weapon
|
||
Standard
|
Enhanced
|
|
Blast
|
50%
|
40%
|
Thermal energy
|
35%
|
25%
|
Instant radiation
|
5%
|
30%
|
Residual radiation
|
10%
|
5%
|
ERWs were two-stage
thermonuclears with all non-essential uranium removed to minimize fission
yield. Fusion provided the neutrons. Developed in the 1950s, they were first
deployed in the 1970s, by U.S. forces in Europe. The last ones were retired in
the 1990s.
A neutron bomb is only
feasible if the yield is sufficiently high that efficient fusion stage ignition
is possible, and if the yield is low enough that the case thickness will not
absorb too many neutrons. This means that neutron bombs have a yield range of
1–10 kilotons, with fission proportion varying from 50% at 1-kiloton to 25% at
10-kilotons (all of which comes from the primary stage). The neutron output per
kiloton is then 10–15 times greater than for a pure fission implosion weapon or
for a strategic warhead like a W87 or W88.[38]
In 1999, nuclear weapon
design was in the news again, for the first time in decades. In January, the
U.S. House of Representatives released the Cox Report (Christopher Cox R-CA) which alleged that
China had somehow acquired classified information about the U.S. W88 warhead.
Nine months later, Wen Ho Lee, a
Taiwanese immigrant working at Los Alamos, was publicly accused of spying, arrested,
and served nine months in pre-trial detention, before the case against him was
dismissed. It is not clear that there was, in fact, any espionage.
In the course of eighteen
months of news coverage, the W88 warhead was described in unusual detail. The
New York Times printed a schematic diagram
on its front page.[39] The most detailed drawing
appeared in A Convenient Spy, the 2001 book on the Wen
Ho Lee case by Dan Stober and Ian Hoffman, adapted and shown here with
permission.
Designed for use on Trident II (D-5) submarine-launched ballistic missiles, the W88
entered service in 1990 and was the last warhead designed for the U.S. arsenal.
It has been described as the most advanced, although open literature accounts
do not indicate any major design features that were not available to U.S.
designers in 1958.
The above diagram shows all
the standard features of ballistic missile warheads since the 1960s, with two
exceptions that give it a higher yield for its size.
§
The outer layer of the secondary, called the
"pusher", which serves three functions: heat shield, tamper,
and fission fuel, is
made of U-235 instead of U-238, hence the name Oralloy (U-235) Thermonuclear.
Being fissile, rather than merely fissionable, allows the pusher to fission
faster and more completely, increasing yield. This feature is available only to
nations with a great wealth of fissile uranium. The United States is estimated
to have 500 tons.[citation needed]
§
The secondary is located in the wide end of the re-entry
cone, where it can be larger, and thus more powerful. The usual arrangement is
to put the heavier, denser secondary in the narrow end for greater aerodynamic
stability during re-entry from outer space, and to allow more room for a bulky
primary in the wider part of the cone. (The W87 warhead drawing in the previous
section[clarification needed] shows the usual
arrangement.) Because of this new geometry, the W88 primary uses compact
conventional high explosives (CHE) to save space,[40] rather than the more usual,
and bulky but safer, insensitive high explosives (IHE). The re-entry cone
probably has ballast in the nose for aerodynamic stability.[41]
The alternating layers of
fission and fusion material in the secondary are an application of the Alarm
Clock/Sloika principle.
The United States has not
produced any nuclear warheads since 1989, when the Rocky Flats pit production plant, near Boulder, Colorado,
was shut down for environmental reasons. With the end of the Cold War two years later, the
production line was idled except for inspection and maintenance functions.
The National Nuclear Security Administration, the
latest successor for nuclear weapons to the Atomic Energy Commission and theDepartment of Energy, has proposed building a
new pit facility and starting the production line for a new warhead called the Reliable Replacement Warhead (RRW).[42] Two advertised safety
improvements of the RRW would be a return to the use of "insensitive high
explosives which are far less susceptible to accidental detonation", and
the elimination of "certain hazardous materials, such as beryllium, that are
harmful to people and the environment."[43] Since the new warhead must
not require any nuclear testing, it could not use a new design with untested
concepts.
All the nuclear weapon
design innovations discussed in this article originated from the following
three labs in the manner described. Other nuclear weapon design labs in other
countries duplicated those design innovations independently, reverse-engineered
them from fallout analysis, or acquired them by espionage.[44]
The first systematic
exploration of nuclear weapon design concepts took place in mid-1942 at the University of California, Berkeley. Important
early discoveries had been made at the adjacent Lawrence Berkeley Laboratory, such as the 1940
cyclotron-made production and isolation of plutonium. A Berkeley professor, J. Robert Oppenheimer, had just been hired to run the
nation's secret bomb design effort. His first act was to convene the 1942
summer conference.
By the time he moved his
operation to the new secret town of Los Alamos, New Mexico, in the spring of
1943, the accumulated wisdom on nuclear weapon design consisted of five
lectures by Berkeley professor Robert Serber,
transcribed and distributed as the Los Alamos Primer.
The Primer addressed fission energy, neutron production and capture, nuclear chain reactions, critical mass,
tampers, predetonation, and three methods of assembling a bomb: gun assembly,
implosion, and "autocatalytic methods," the one approach that turned
out to be a dead end.
At Los Alamos, it was found
in April 1944 by Emilio G. SegrĂš that the proposed Thin Man Gun assembly type bomb
would not work for plutonium because of predetonation problems caused by Pu-240
impurities. So Fat Man, the implosion-type bomb, was given high priority as the
only option for plutonium. The Berkeley discussions had generated theoretical
estimates of critical mass, but nothing precise. The main wartime job at Los
Alamos was the experimental determination of critical mass, which had to wait
until sufficient amounts of fissile material arrived from the production
plants: uranium from Oak
Ridge, Tennessee, and plutonium from the Hanford site in Washington.
In 1945, using the results
of critical mass experiments, Los Alamos technicians fabricated and assembled
components for four bombs: theTrinity Gadget, Little Boy,
Fat Man, and an unused spare Fat Man. After the war, those who could, including
Oppenheimer, returned to university teaching positions. Those who remained
worked on levitated and hollow pits and conducted weapon effects tests such asCrossroads Able and Baker at Bikini Atoll in 1946.
All of the essential ideas
for incorporating fusion into nuclear weapons originated at Los Alamos between
1946 and 1952. After the Teller-Ulam radiation implosion
breakthrough of 1951, the technical implications and possibilities were fully
explored, but ideas not directly relevant to making the largest possible bombs
for long-range Air Force bombers were shelved.
Because of Oppenheimer's
initial position in the H-bomb debate, in opposition to large thermonuclear weapons,
and the assumption that he still had influence over Los Alamos despite his
departure, political allies of Edward Teller decided he needed his own
laboratory in order to pursue H-bombs. By the time it was opened in 1952, in Livermore, California, Los Alamos had finished
the job Livermore was designed to do.
With its original mission
no longer available, the Livermore lab tried radical new designs, that failed.
Its first three nuclear tests were fizzles: in 1953, two single-stage fission
devices with uranium hydride pits, and in 1954, a two-stage
thermonuclear device in which the secondary heated up prematurely, too fast for
radiation implosion to work properly.
Shifting gears, Livermore
settled for taking ideas Los Alamos had shelved and developing them for the
Army and Navy. This led Livermore to specialize in small-diameter tactical
weapons, particularly ones using two-point implosion systems, such as the Swan.
Small-diameter tactical weapons became primaries for small-diameter
secondaries. Around 1960, when the superpower arms race became a ballistic
missile race, Livermore warheads were more useful than the large, heavy Los
Alamos warheads. Los Alamos warheads were used on the firstintermediate-range ballistic missiles, IRBMs,
but smaller Livermore warheads were used on the first intercontinental ballistic missiles, ICBMs,
and submarine-launched ballistic missiles, SLBMs,
as well as on the first multiple warhead systems on such missiles.[45]
In 1957 and 1958 both labs
built and tested as many designs as possible, in anticipation that a planned
1958 test ban might become permanent. By the time testing resumed in 1961 the
two labs had become duplicates of each other, and design jobs were assigned
more on workload considerations than lab specialty. Some designs were
horse-traded. For example, the W38 warhead for the Titan I missile started out as a
Livermore project, was given to Los Alamos when it became the Atlas missile warhead, and in
1959 was given back to Livermore, in trade for the W54 Davy Crockett warhead, which went from
Livermore to Los Alamos.
The period of real
innovation was ending by then, anyway. Warhead designs after 1960 took on the
character of model changes, with every new missile getting a new warhead for
marketing reasons. The chief substantive change involved packing more fissile
uranium into the secondary, as it became available with continued uranium
enrichment and the dismantlement of the large high-yield
bombs.
Nuclear weapons are in
large part designed by trial and error. The trial often involves test explosion
of a prototype.
In a nuclear explosion, a
large number of discrete events, with various probabilities, aggregate into
short-lived, chaotic energy flows inside the device casing. Complex
mathematical models are required to approximate the processes, and in the 1950s
there were no computers powerful enough to run them properly. Even today's
computers and simulation software are not adequate.[46]
It was easy enough to
design reliable weapons for the stockpile. If the prototype worked, it could be
weaponized and mass produced.
It was much more difficult
to understand how it worked or why it failed. Designers gathered as much data
as possible during the explosion, before the device destroyed itself, and used
the data to calibrate their models, often by inserting fudge factors into equations to make the
simulations match experimental results. They also analyzed the weapon debris in
fallout to see how much of a potential nuclear reaction had taken place.
An important tool for test
analysis was the diagnostic light pipe. A probe inside a test device could
transmit information by heating a plate of metal to incandescence, an event
that could be recorded at the far end of a long, very straight pipe.
The picture below shows the
Shrimp device, detonated on March 1, 1954 at Bikini, as the Castle Bravo test. Its 15-megaton
explosion was the largest ever by the United States. The silhouette of a man is
shown for scale. The device is supported from below, at the ends. The pipes
going into the shot cab ceiling, which appear to be supports, are diagnostic
light pipes. The eight pipes at the right end (1) sent information about the
detonation of the primary. Two in the middle (2) marked the time when
x-radiation from the primary reached the radiation channel around the
secondary. The last two pipes (3) noted the time radiation reached the far end
of the radiation channel, the difference between (2) and (3) being the
radiation transit time for the channel.[47]
From the shot cab, the
pipes turned horizontal and traveled 7500 ft (2.3 km), along a
causeway built on the Bikini reef, to a remote-controlled data collection
bunker on Namu Island.
While x-rays would normally
travel at the speed of light through a low density material like the plastic
foam channel filler between (2) and (3), the intensity of radiation from the
exploding primary created a relatively opaque radiation front in the channel
filler which acted like a slow-moving logjam to retard the passage of radiant
energy. While the secondary is being compressed via radiation induced ablation,
neutrons from the primary catch up with the x-rays, penetrate into the
secondary and start breeding tritium with the third reaction noted in the first
section above. This Li-6 + n reaction is exothermic, producing 5 MeV per event.
The spark plug is not yet compressed and thus is not critical, so there won't
be significant fission or fusion. But if enough neutrons arrive before
implosion of the secondary is complete, the crucial temperature difference will
be degraded. This is the reported cause of failure for Livermore's first
thermonuclear design, the Morgenstern device, tested as Castle Koon, April
7, 1954.
These timing problems are
measured by light-pipe data. The mathematical simulations which they calibrate
are called radiation flow hydrodynamics codes, or channel codes. They are used
to predict the effect of future design modifications.
It is not clear from the
public record how successful the Shrimp light pipes were. The data bunker was
far enough back to remain outside the mile-wide crater, but the 15-megaton
blast, two and a half times greater than expected, breached the bunker by
blowing its 20-ton door off the hinges and across the inside of the bunker.
(The nearest people were twenty miles (32 km) farther away, in a bunker
that survived intact.)[48]
The most interesting data
from Castle Bravo came from radio-chemical analysis of weapon debris in
fallout. Because of a shortage of enriched lithium-6, 60% of the lithium in the
Shrimp secondary was ordinary lithium-7, which doesn't breed tritium as easily
as lithium-6 does. But it does breed lithium-6 as the product of an (n, 2n)
reaction (one neutron in, two neutrons out), a known fact, but with unknown
probability. The probability turned out to be high.
Fallout analysis revealed
to designers that, with the (n, 2n) reaction, the Shrimp secondary effectively
had two and half times as much lithium-6 as expected. The tritium, the fusion
yield, the neutrons, and the fission yield were all increased accordingly.[49]
As noted above, Bravo's
fallout analysis also told the outside world, for the first time, that
thermonuclear bombs are more fission devices than fusion devices. A Japanese
fishing boat, the Lucky
Dragon, sailed home with enough fallout on its decks to allow
scientists in Japan and elsewhere to determine, and announce, that most of the
fallout had come from the fission of U-238 by fusion-produced 14 MeV neutrons.
Subsidence Craters at Yucca
Flat, Nevada Test Site.
The global alarm over
radioactive fallout, which began with the Castle Bravo event, eventually drove
nuclear testing literally underground. The last U.S. above-ground test took
place at Johnston Islandon
November 4, 1962. During the next three decades, until September 23, 1992, the
United States conducted an average of 2.4 underground nuclear explosions per
month, all but a few at theNevada Test Site (NTS) northwest of Las
Vegas.
The Yucca Flat section of the NTS is
covered with subsidence craters resulting from the collapse of terrain over
radioactive underground caverns created by nuclear explosions (see photo).
After the 1974 Threshold Test Ban Treaty (TTBT), which limited
underground explosions to 150 kilotons or less, warheads like the half-megaton
W88 had to be tested at less than full yield. Since the primary must be
detonated at full yield in order to generate data about the implosion of the
secondary, the reduction in yield had to come from the secondary. Replacing
much of the lithium-6 deuteride fusion fuel with lithium-7 hydride limited the
tritium available for fusion, and thus the overall yield, without changing the
dynamics of the implosion. The functioning of the device could be evaluated
using light pipes, other sensing devices, and analysis of trapped weapon
debris. The full yield of the stockpiled weapon could be calculated by
extrapolation.
When two-stage weapons
became standard in the early 1950s, weapon design determined the layout of the
new, widely dispersed U.S. production facilities, and vice versa.
Because primaries tend to
be bulky, especially in diameter, plutonium is the fissile material of choice
for pits, with beryllium reflectors. It has a smaller critical mass than
uranium. The Rocky Flats plant near Boulder,
Colorado, was built in 1952 for pit production and consequently became the
plutonium and beryllium fabrication facility.
The Y-12 plant in Oak
Ridge, Tennessee, where mass
spectrometers called Calutrons had enriched uranium for
the Manhattan Project,
was redesigned to make secondaries. Fissile U-235 makes the best spark plugs
because its critical mass is larger, especially in the cylindrical shape of
early thermonuclear secondaries. Early experiments used the two fissile
materials in combination, as composite Pu-Oy pits and spark plugs, but for mass
production, it was easier to let the factories specialize: plutonium pits in
primaries, uranium spark plugs and pushers in secondaries.
Y-12 made lithium-6
deuteride fusion fuel and U-238 parts, the other two ingredients of
secondaries.
The Savannah River plant in Aiken, South Carolina, also
built in 1952, operated nuclear reactors which converted U-238 into
Pu-239 for pits, and converted lithium-6 (produced at Y-12) into tritium for
booster gas. Since its reactors were moderated with heavy water, deuterium
oxide, it also made deuterium for booster gas and for Y-12 to use in making
lithium-6 deuteride.
Because even low-yield
nuclear warheads have astounding destructive power, weapon designers have
always recognised the need to incorporate mechanisms and associated procedures
intended to prevent accidental detonation.
A diagram of the Green Grass warhead's steel ball safety
device, shown left, filled (safe) and right, empty (live). The steel balls were
emptied into a hopper underneath the aircraft before flight, and could be
re-inserted using a funnel by rotating the bomb on its trolley and raising the
hopper.
Gun-type weapons
It is inherently dangerous
to have a weapon containing a quantity and shape of fissile material which can
form a critical mass through a relatively simple accident. Because of this
danger, the propellant in Little Boy (four bags of cordite) was inserted
into the bomb in flight, shortly after takeoff on August 6, 1945. This was the
first time a gun-type nuclear weapon had ever been fully assembled.
If the weapon falls into
water, the moderating effect of the water can also cause acriticality
accident, even without the weapon being physically damaged.
Similarly, a fire caused by an aircraft crashing could easily ignite the
propellant, with catastrophic results. Gun-type weapons have always been
inherently unsafe.
In-flight pit insertion
Neither of these effects is
likely with implosion weapons since there is normally insufficient fissile
material to form a critical mass without the correct detonation of the lenses.
However, the earliest implosion weapons had pits so close to criticality that
accidental detonation with some nuclear yield was a concern.
On August 9, 1945, Fat Man
was loaded onto its airplane fully assembled, but later, when levitated pits
made a space between the pit and the tamper, it was feasible to use in-flight
pit insertion. The bomber would take off with no fissile material in the bomb.
Some older implosion-type weapons, such as the US Mark
4 and Mark
5, used this system.
In-flight pit insertion
will not work with a hollow pit in contact with its tamper.
Steel ball safety method
As shown in the diagram
above, one method used to decrease the likelihood of accidental detonation
employed metal balls. The
balls were emptied into the pit: this prevented detonation by increasing the
density of the hollow pit, thereby preventing symmetrical implosion in the
event of an accident. This design was used in the Green Grass weapon, also
known as the Interim Megaton Weapon, which was used in theViolet Club and Yellow Sun Mk.1 bombs.
Chain safety method
Alternatively, the pit can
be "safed" by having its normally hollow core filled with an inert
material such as a fine metal chain, possibly made of cadmium to absorb neutrons. While
the chain is in the center of the pit, the pit can not be compressed into an
appropriate shape to fission; when the weapon is to be armed, the chain is
removed. Similarly, although a serious fire could detonate the explosives, destroying
the pit and spreading plutonium to contaminate the surroundings as has happened
in several weapons accidents, it could not cause a
nuclear explosion.
One-point safety
While the firing of one
detonator out of many will not cause a hollow pit to go critical, especially a
low-mass hollow pit that requires boosting, the introduction of two-point
implosion systems made that possibility a real concern.
In a two-point system, if
one detonator fires, one entire hemisphere of the pit will implode as designed.
The high-explosive charge surrounding the other hemisphere will explode
progressively, from the equator toward the opposite pole. Ideally, this will pinch
the equator and squeeze the second hemisphere away from the first, like
toothpaste in a tube. By the time the explosion envelops it, its implosion will
be separated both in time and space from the implosion of the first hemisphere.
The resulting dumbbell shape, with each end reaching maximum density at a
different time, may not become critical.
Unfortunately, it is not
possible to tell on the drawing board how this will play out. Nor is it
possible using a dummy pit of U-238 and high-speed x-ray cameras, although such
tests are helpful. For final determination, a test needs to be made with real
fissile material. Consequently, starting in 1957, a year after Swan, both labs
began one-point safety tests.
Out of 25 one-point safety
tests conducted in 1957 and 1958, seven had zero or slight nuclear yield
(success), three had high yields of 300 t to 500 t (severe failure), and the
rest had unacceptable yields between those extremes.
Of particular concern was
Livermore's W47,
which generated unacceptably high yields in one-point testing. To prevent an
accidental detonation, Livermore decided to use mechanical safing on the W47.
The wire safety scheme described below was the result.
When testing resumed in 1961,
and continued for three decades, there was sufficient time to make all warhead
designs inherently one-point safe, without need for mechanical safing.
Wire safety method
One particularly dangerous
warhead was Livermore's W47,
designed for the Polaris submarine missile. The last test before the 1958
moratorium was a one-point test of the W47 primary, which had an unacceptably
high nuclear yield of 400 lb (180 kg) of TNT equivalent (Hardtack II
Titania). With the test moratorium in force, there was no way to refine the
design and make it inherently one-point safe. Los Alamos had a suitable primary
that was one-point safe, but rather than share with Los Alamos the credit for
designing the first SLBM warhead, Livermore chose to use mechanical safing on
its own inherently unsafe primary. The result was a safety scheme consisting of
aboron-coated wire
inserted into the hollow pit at manufacture. The warhead was armed by
withdrawing the wire onto a spool driven by an electric motor. Once withdrawn,
the wire could not be re-inserted.[50] The wire had a tendency to
become brittle during storage, and break or get stuck during arming, preventing
complete removal and rendering the warhead a dud.[51] It was estimated that
50-75% of warheads would fail. This required a complete rebuild of the W47
primaries.[52] The oil used for
lubricating the wire also promoted corrosion of the pit.[53]
A strong link/weak link and
exclusion zone nuclear detonation mechanism is a form of automatic safety interlock.
In addition to the above
steps to reduce the probability of a nuclear detonation arising from a single
fault, locking mechanisms referred to by NATO states as Permissive Action Links
are sometimes attached to the control mechanisms for nuclear warheads.
Permissive Action Links act solely to prevent the unauthorised use of a nuclear
weapon.
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