Atomic Dysfunction

IF 0.2 Q2 HISTORY
Vulcan Pub Date : 2018-10-22 DOI:10.1163/22134603-00601003
John M. Curatola
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引用次数: 0

Abstract

Following World War II the US believed its atomic monopoly was the primary tool to offset large, standing communist ground forces within the Soviet orbit. However, both the newly established and civilian-run Atomic Energy Commission (AEC) along with the nascent US Air Forces’ Strategic Air Command (SAC) were models of dysfunction. In the late 1940s neither the civilians nor the military were capable of fulfilling the requirements outlined in the envisioned atomic air offensives of the time. Apart from their internal problems, both the AEC and SAC failed to properly coordinate with each other for effective transfer of bomb material, requisite training, and standing up the required number of atomic ordnance assembly teams. As a result, the American atomic monopoly from 1945–1950 was largely a bluff with few men, materials, and resources to serve as the nation’s primary strategic offense.
原子功能障碍
第二次世界大战后,美国认为其原子垄断是抵消苏联轨道内庞大的共产主义地面力量的主要工具。然而,新成立的民用原子能委员会(AEC)和新生的美国空军战略空军司令部(SAC)都是功能失调的典范。在20世纪40年代后期,无论是平民还是军队都无法满足当时设想的原子空中进攻的要求。除了内部问题外,原子能委员会和国家原子能委员会都未能在有效转移炸弹材料、必要的培训和组建所需数量的原子武器装配队方面相互协调。因此,1945年至1950年期间,美国的原子垄断在很大程度上是虚张声势,几乎没有人力、材料和资源来作为国家的主要战略进攻。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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来源期刊
Vulcan
Vulcan Arts and Humanities-History
CiteScore
1.30
自引率
0.00%
发文量
15
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