I want to Wish all my Readers and Fellow Bloggers a Very Happy New Years and May Gods Blessings Shine upon you and your Family in the New Year.
The Last one is Definately Me......I have to work again during the Holiday...Hey....Aviation is a 24/7/365 and the Holiday season is a very busy season for us.
This was that 747 post that I was working on, I heard about this and did some digging and found some information.
Sunday marked the 30th anniversary of an interesting event: a Boeing
747 going supersonic. Reports from 1991 suggest that the aircraft
reached a speed of Mach 1.25 while rapidly descending due to a
malfunction. While this was never confirmed, this could be the fastest a
commercial Queen of the Skies has ever flown.
According to This Day In Aviation,
12th December marks the date of a notable event in history. We all know
that the Concorde and the Tupolev Tu-144 were the only commercial
aircraft designed to reach supersonic speeds. But what if a Boeing 747
did the same? A serious incident on this day in 1991 could have seen it
happen.
The story begins on an Evergreen International Airlines Boeing
747-100, registered N475EV. The aircraft had recently been converted to a
freighter for the use of charter operator Evergreen. On 12th December
1991, the plane was flying from Newark to Tokyo, with a stop in
Anchorage, when the crew noticed a failure warning on the inertial
navigation system
The flight was carrying six crew and cruising at 31,000ft over the
province of Ontario. Upon noticing the INS warning, the crew rechecked
their instruments and noticed a shocking change. The 747 had banked 90
degrees to the right and was descending at an angle of 30-35 degrees.
This uncontrolled descent caused the aircraft to accelerate rapidly
and fall over 10,000 feet before the pilots could regain control. The
747 stabilized at 22,500ft before the crew landed safely in Duluth,
Minnesota.
All eyes were on what caused the 747 to act this way. The answer was a
3x15ft hole in the forward section of the right-wing. The panels from
the gaping hole caused damage to the flaps and the horizontal tail
sections. However, it was unclear if the hole was a result of, or cause
of, the 747s rapid descent.
The result of this rapid descent was the 747-100 exceeding its
maximum speed limit of Mach 0.92. Official reports suggest the aircraft
reached at least 0.98 Mach during its descent. However, some reports
indicate the plane reached speeds as high as Mach 1.25, well beyond the
supersonic limit.
While the NTSB initially did not confirm speeds higher than 0.92,
Boeing has made statements to the effect in the past. In the Chicago
Times in 1992, a spokesperson said,
“Original flight tests of 747s conducted in 1969 and
1970 took 747-100 models to speeds of Mach 0.99. In addition, Boeing
knows one case in which a 747 operated by Evergreen International made
an emergency descent at speeds that exceeded Mach 1.”
While aircraft are put through extreme testing during their
certification, these are never intended to be actually faced. The
747-100, for instance, was tested up to Mach 0.99, almost breaking the
sound barrier. Other 747s, such as Air Force One, have approached the
sound barrier but never crossed it. It’s unclear if we will ever know if
Evergreen’s 747-100 ever went supersonic, but it sure is one of the
closest to do so.
I clipped this from JPFO, I remember the Media's rush to crucify the parents before the facts were all in, something that they like to do to support "The Narrative"
Protect Due Process and Innocence Presumption for Michigan School Shooter Parents
As this correspondent reads accounts of the latest media inspired
school shooting, there was an obvious theme: blame the parents. Convict
them before any evidence is presented in court. Indict them with crimes
seldom used in such circumstances. Declare they are fugitives in a
"manhunt".
This is all depressingly familiar. The media smells gun control blood
in the water. They launch a narrative: all is the fault of the parents.
The narrative advances their political agenda and masks their own
liability. The Constitutional rights of gun owners, especially of white
gun owners, are not considered worthy of protecting. The mother,
Jennifer Crumbley, even supported President Trump in 2016!
How dare she!
The Trump-support letter, supposedly a blog post written in November
of 2016, is claimed by some to be a hoax. Is it? This correspondent does
not know. Time will help clear the confusion.
This correspondent does not know all the details of what happened. No
one does at this point. A narrative is being formed and pushed with
little fact and little due process. The Michigan prosecutor has
announced four counts of involuntary manslaughter charges for each
parent, with very little investigation, and lots of publicity. The
public is inflamed. The sheriff in the county says this is not the way
things are usually done.
Calls for harsh punishment of the Crumbley parents is common on the Internet.
Involuntary manslaughter in Michigan appears to be very close to criminally negligent homicide, generally.
The theory appears to be that it was criminally negligent for the
parents to have allowed the 15-year-old to have access to the pistol
used, and/or perhaps, not to have taken him from school or to have
searched his backpack after being shown a disturbing drawing asking for
help and depicting guns, a bullet, and a person shot.
There seems to have been ample reasonable suspicion for the school
officials to search the 15 -year-old students backpack. This is enhanced
by the fact the parents insisted on leaving the 15-year-old in the
school, creating more reason to search the backpack.
The parents knew the 15-year-old lived in their home. They knew they
had firearms in their home, including the pistol which was used to
murder.
They may or may not have believed it to be secured. There is no
statistical evidence laws requiring guns to be secured from teenagers
reduce crime.
The details are important. Those who want a disarmed public are
using the incident to push for more laws. More laws are almost always
the wrong response.
In these tragedies, there is an unfortunate tendency to rush to
judgement. It is absolutely part of the rights of parents and the
accused to not make statements without counsel being present.
I believe more facts will emerge. A wait of a week or a month is
reasonable to allow some shakeout of facts. A trial is the ultimate
arbiter, as was seen in the Rittenhouse case. We should be working to
dampen trial by Media rather than exacerbating it.
A rush to judgement comes with a high risk of injustice.
Much has been made of the mother texting her son to "Don't do it"
after the shooting. It could as easily have been a panicked cry to
prevent suicide as anything else.
This mass murder is a terrible tragedy which came extremely close to
being prevented, making it all the more forceful. If only.. if only..
There are more forces in play than the Constitutionally protected presence of firearms in our homes. Media contagion is real,
and a strong, perhaps dominant thread in school mass murder. Teens in
crises see a way to escape life in a manner which will immortalize them
in the media.
The more people they kill, the more media attention they get. It is a horrible but obvious way to promote mass killing.
Could slightly different decisions by either the parents or the
school have stopped this event before it started? It appears so. Does
this rise to the level of negligent homicide? It is far too early to
know.
We all need to back off, take a deep breath, and allow for due
process and a measured investigation which respects the rights of all
concerned.
Put yourself in the position of the parents of the child who killed
several other students. It is a horrible position to be in, not
withstanding the worse condition of the parents whose children were
killed and wounded.
There is no evidence the parents of the murderer condoned or
encouraged the killing of innocents. It is not illegal or immoral for
parents to buy a teen a pistol and teach them to shoot it.
Parents have always been responsible, at least to some extent, for
the conduct of minor children. This is a nightmare for the parents of
the killer even as we acknowledge the greater loss of the parents of the
victims.
When we feel our emotions rising; when we want to take direct and
harsh action; it is the time to step back, call for due process and
proper procedure, careful investigation, and measured thought.
To do less is to be controlled by those who use any "crises" to accomplish what they otherwise could not do.
Government by crises is bad government.
The narrative being pushed by the prosecutor and the Media may not be
close to reality. We have been deceived several times in recent
history. Consider Ferguson Missouri and the fake "hands up, don't shoot" narrative. Consider the attack on innocent George Zimmerman by Trayvon Martin. Consider the Media attempt at lynching Kyle Rittenhouse.
We have not heard the parents side of the story.
It is time to call for calm, legal and responsible investigation, and
a cooling period to prevent emotional overreactions when careful
thought and consideration is required.
I used to listen to a radio talk show host named Neil Boortz, until he
retired a few years ago. he used to talk many times on his show
about the "3 rules for avoiding poverty". He equated poverty with a
mental illness, for barring a mental issue or physical disability you
can avoid poverty by following 3 rules.
Rule number 1. Get an education, any education...make an
attempt to better yourself. Learn all you can while you can, you will
be surprised how far it will take you. When you get an education, even
at work, you are making an attempt to improve yourself and things like
that are noticed by the bosses and it might open up opportunities.
Learning takes work and you would be surprised how many people are too
lazy to continue learning, then they wonder why they no longer earn more
and move up. If you quit learning, you will stagnate and then move
backwards because there are people coming up that are hungry and you
will find yourself obsolete and unemployed and wondering what happened.
Rule Number 2. Get a job, any job..work it until you find a
better job. While you are working your job, always look for
opportunities to better yourself at work, learn how the process works,
make the extra step to learn all facets of the job, become indispensable
to your employer. Or if you really don't like the job, work it hard,
learn about it and look for a better job. You keep working for the
better job. While you are at it, keep on learning so you don't become
expendable and replaceable. Form good work habits, always come to work a
bit early. it doesn't hurt to get ahead of the power curve for your
job. It also shows that you are enthusiastic about your work and that
is noticeable.
Rule Number 3 Don't get pregnant. This rule applies to both
girls and guys. For girls, getting pregnant early unless they are lucky
and have a great family structure in place, will be trapped in a cycle
of poverty. Sure they get benefits from the government, but the money
they get is just enough to keep them trapped in a continuous cycle.
"Why work when I get money from Uncle Sugar." they sell their dreams and
soul for an EBT card. Once the baby arrives, it will be difficult to
continue getting an education to improve themselves and they will be
trapped where they are or even slide into a worse situation than they
have now. I remembered this girl in high school, she wanted to get into
NASA, and become an astronaut. She was brilliant and we could see her
making it. But she got pregnant and had to drop out in the 11th grade.
A few years later I was working at Domino's Pizza after graduating high
school and a year of college then ran out of money. I was delivering
pizza as I was making ready to join the Army for the G.I. bill so I can
go back to school. Well I was delivering a pizza to a dilapidated
trailer and this same girl came to the door. I immediately recognized
her and asked her how it was going. She told me that she had her baby
and was pregnant again. I then asked her " where is your husband?" She
commented that he was probably at the bar getting drunk. I continued
to make small talk for a few minuted then I left. I had an epiphany as I
was leaving. Where she is now is the highpoint of her existence. It
is a slide to grinding poverty and obscurity from here and I was a bit bummed. This
rules also works with guys, if you get a girl pregnant, you also are
responsible and you will have a 18 year commitment and if you and the
girl break up, expect to have child support and possible garnishments to
deal with. Rather than going to school to get a higher education, you
have to enter the work force at a lower paying job to make ends meet and
your dreams are on hold perhaps indefinitely.
If you follow these rules and apply a modicum of common sense, you
should be able to avoid the lower parts of the economic ladder.
Stuka, The Dive Bomber That Terrified the Allies – Perhaps no weapon was as closely associated with the Nazi German in early in World War II as the Stuka dive bomber, infamous for howling, near-vertical dive attacks on warships, battlefield targets, and defenseless civilian communities like merciless birds of prey.
However, the Stuka’s reputation did not survive the war it helped
kick-off as it proved less and less survivable in the face of capable
opposition.
The dive bomber was a solution to a timeless challenge in military
aviation: how to ensure weapons dropped by fast-moving aircraft land
anywhere near a point target like a warship, artillery battery or
fortification. Precision was an especially big problem in an era where
tactical aircraft could carry only light, unguided bombs.
In the early 1930s, German World War I ace and stuntmen Ernst
Udet was impressed by American F11C Goshawk fighters he saw perform
steep dive-bombing attacks. Upon joining the Nazi Party in 1933 he
imported two Goshawks for test-flying and insisted the fledgling
Luftwaffe develop a specialized dive bomber—an aircraft that could
withstand the strain of pulling out of steep dives without smashing into
the ground or ripping its wings off
Engineer Hermann Pohlmann of the Junkers company devised a two-seat
monoplane with fixed landing gear covered by spiffy ‘spats’ and
distinctive inverted gull-wings that helped lift the fuselage high
enough off the ground to accommodate its large propeller. In addition to
two rifle-caliber machineguns in the wings, the radio operator had a
rearward-facing gun to protect against enemy fighters.
Powered by a Jumo 211 engine, the Ju 87 beat out competing models
in an aircraft design competition and saw initial combat-testing in the
Spanish Civil War in 1938-1939. The Stuka was slow with a maximum speed
of 200-240 miles per hour in level flight and had a short combat radius
of only 245 miles. It typically carried a single 551-pound bomb under
the fuselage (released by a crutch-like dispenser to avoid hitting the
propeller) and four 110-pound bombs under the wings.
Stuka pilots spotted targets through a floor window, then rolled
their aircraft completely around into a dive as steep as 90 degrees.
Underwing dive brakes would extend automatically, controlling diving
speed to just over 350 miles per hour, buying the pilot time to line up
his attack using controls switched to ‘dive mode’ and lines etched into
canopy side to judge his dive angle.
Special propeller-sirens on their landing gear called Trumpets of Jericho produced an infamous howling sound intended to terrorize bystanders on the ground. However, the sirens were later removed as they reduced speed by 5-10%.
Pilots typically released bombs at just 1,500 feet and then
engaged an automated system to yank the Stuka upwards. This was vital,
as such dives exerted five to six times the force of gravity on the
pilot, constraining blood flow to the brain and causing temporary
“grey-outs.”
Even the purpose-built Stuka was not immune to the dangers of
this method of attacks. Two weeks prior to the invasion of Poland,
thirteen Stukas and their crews were lost in training at Neuhammer when
fog caused them to misjudge a dive.
The Luftwaffe fielded 336 Stukas at the onset of World War II and
lost only 31 in the Polish campaign. They launched the first strikes of
World War II and claimed the first air-to-air kill when a Stuka pounced
on a Polish P.11 fighter taking off. When Polish forces counterattacked at the River Bzura with some success, Stukas and Panzers reacted swiftly to crush the threat.
The Ju 87B was the primary early-war model, but there were also
folding-wing Ju 87C torpedo/dive bombers for the never-completed
carrier Graf Zeppelin, and longer-range Ju 87Rs.
The Stuka’s precision made it a deadly anti-ship weapon. Stukas
sank most of the Polish Navy, crippled two cruisers and destroyed
several Allied destroyers and sloops and during the invasion of Norway,
and harried vessels evacuating Allied troops at Dunkirk.
Over 400 Stukas served as ‘flying artillery’ in the Battle of
France and the Low Countries, helping forward units beyond the reach of
artillery support, such as German paratroopers and fast-moving Panzer
divisions, by knocking out artillery concentration, heavy British and French tanks units, and fortifications like Belgium’s Ebe- Emael that could impede their advance.
Despite the Stukas’ tactical utility, they were also associated
early on with terror attacks on civilians. In 1938, three pre-production
Ju-87A models were ‘combat tested’ in Spain by attacking villages of no
military value, killing 38 civilians. Over Poland, Stukas obliterated 70% of the buildings in the town of Wielun despite
it being devoid of military targets. In France, Stukas notoriously
strafed columns of refugees, driving them into the path of Allied
columns.
However, dive bombers are extremely slow and vulnerable when
pulling out of a dive. Stuka losses were initially tolerable because
German fighters had achieved air superiority over their foes. Even then, roughly 120 Stukas were lost over France and the Low Countries.
The Stuka’s limitations caught up with it during the ensuing Battle of Britain—the campaign to destroy the Royal Air Force in preparation for a German amphibious landing. Stuka units were tasked with knocking out British Chain Home early warning radars, and coastal convoys and airfields.
But the RAF’s modern Spitfire and Hurricane fighters were tough
adversaries on their home turf, assisted by radar and the buffer of the
English Channel. In just three weeks in August, the Luftwaffe lost 51
Ju 87s—including 16 in one day. The Stuka had to be withdrawn from the
fight.
Battle for the Eastern Front:
Still, the Ju 87 remained successful in theaters where aerial
opposition was weak, such as the Balkans, Mediterranean and Russia in
1941-1942. Stukas ravaged Allied forces in Yugoslavia, sank numerous
British warships off Crete, destroyed much of the Soviet air force on
the ground in June 1941, and blunted counterattacks by heavier Russia tanks. Germany also exported Stukas to allies including Bulgaria, Italy and Romania.
By early 1942 the improved Ju-87D model phased in boasting a more
powerful Jumo 211J engine boosting range, speed and bombload. It also
featured a streamlined canopy and nose, a twin-barrel MG-81Z tail gun,
and additional armor plates.
To stem the thousands of tanks pouring out of Soviet factories,
in 1943 there followed the tank-busting Ju-87G model, armed with a
long-barreled 37-millimeter automatic cannon pod under each wing with a
magazine of six tungsten high-velocity shells. These could penetrate
Allied tanks if they struck the vulnerable top or rear armor.
Pilot Hans-Ulrich Rudel claimed in his memoire Stuka Pilot to have destroyed 519 tanks, sunk the battleship Marat, and shot down 52 aircraft mostly while flying a Stuka. While Rudel’s claims are surely exaggerated given the tendency for tremendous over-claiming of air-to-ground kills during World War II, another statistic is equally telling: Rudel was shot down or crash landed 32 separate times.
The swan song of the Stuka came in July 1943 at the titanic tank
battle at Kursk. Stuka Geschwaders 1, 2 and 3—half equipped with
cannons—launched massive airstrikes on Soviet tank units alongside Fw-190 fighter bombers and Hs-129 anti-tank aircraft.
However, Soviet Il-2 Shturmovik bombers also
claimed huge successes against German tanks at Kursk. Though
superficially similar to the Ju 87, the Shturmovik was more heavily
armored and had forward-facing cannons, ad even acquired a reputation
for hunting Stukas.
Demise of the Dive Bomber:
Growing Allied air superiority made Stuka operations more and
more perilous. Even American fighter pilots seeing their first action shot down dozens of Stukas over North Africa and Italy.
By 1944, the dive-bomber was largely replaced by far more survivable and hard-hitting ‘jabos’: robust, high-speed fighter bombers like the Fw-190F with maximum speeds exceeding 300 or 400 miles per hour.
While their high-speed, low-altitude attacks were not as precise a
dive-bombing, late-war fighter bombers had punchier rockets and
forward-firing cannons or .50-caliber machineguns to strike point
targets and could carry heavier bombs to blast area targets. Most
importantly, they weren’t sitting ducks when enemy fighters showed up.
By 1945, the Luftwaffe had only 100 operational Stukas out of
around 6,000 built. These continued to harry Russian armies entering
Germany, scoring occasional successes due lapses in Soviet air
superiority. Only three intact Ju 87s survive today.
The Stuka played an important role in the Wehrmacht’s early
campaigns, knocking out obstacles to the relentless advance of German
Panzer divisions with precision strikes. But white-knuckle dive-bombing
tactics proved a dead end when facing significant aerial
opposition. Though the Stuka led a respectable second career as a
cannon-armed tank buster, the infamous warplane was doomed to be
replaced by more versatile and survivable fighter-bombers.
I am continuing my "What songs would I play if Sirius/XM would let me host a
segment for an hour and these are the songs that I could play over and
over again 3 or 4 times before continuing to the next song. I will
continue the *Boogaloo* theme after New Years, that poor theme I had
started November of 2019 and rode it hard like that little burro
that carries the really fat lady down the grand canyon in July and back up again
so it is still recharging in the pasture eating grass and grain before
use it again.
"My Girl (Gone, Gone, Gone)" is a song that was performed by the Canadian group Chilliwack. It was released on their 1981 album Wanna Be a Star.
In Canada, the song spent four weeks at number 3. In the United States, it reached number 22 on the Billboard Hot 100 and number 19 on the Cash Box Top 100.
The band originated in Vancouver, British Columbia out of the remnants of the C-Span Classics, that changed its name to The Collectors when Henderson joined in 1966. Their psychedelic self-titled debut album
yielded the minor hit "Lydia Purple".Their second album was based on
the musical score written by the band for a stage play by Canadian
playwright George Ryga, Grass and Wild Strawberries.
Chilliwack effectively began with the departure of vocalist Howie
Vickers from the Collectors in 1969; however, the band didn't change
their name until 1970, to Chilliwack, a Salish term meaning "going back up" and the name of a city east of Vancouver in the Fraser River valley. With lead guitarist Bill Henderson
now providing most of the vocals and doing most of the composing, the
band released several records that were moderately successful in Canada.
Hit singles in Canada included "Lonesome Mary", which entered Cashbox
January 22, 1972
"Crazy Talk" and "Fly at Night". The album track "Rain-o", a
blues-based composition that appeared in different versions on the
Chilliwack debut album and the later Dreams, Dreams, Dreams, was a well-known concert favourite.
Their album Riding High on Goldfish Records (Terry Jacks' Label) contained one of their biggest hits, "Crazy Talk", which was produced by Terry Jacks.
However, Chilliwack had a difficult time sustaining any success
because of their constant label changes. The two Collectors albums were
on Warner Brothers, and Chilliwack's first five albums were on four
different labels in Canada: Parrot, A&M, Goldfish, and Casino
Records. When the band finally found relative stability and success with
Vancouver's Mushroom Records,
with distribution throughout North America, the label went bankrupt so
abruptly in 1979 that Chilliwack's third album for the label, Breakdown in Paradise, was barely released.
In 1978, Brian MacLeod (guitar, drums, keyboards) joined the band for the Lights from the Valley album, and Ab Bryant (bass) joined the band for Breakdown in Paradise, with the other members except for Henderson departing. Chilliwack then signed with Solid Gold Records in Canada and Millennium Records in the U.S. as a trio and enjoyed its greatest success with this new lineup, releasing the albums Wanna Be a Star and Opus X.
The singles "My Girl (Gone, Gone, Gone)" (1981), "I Believe" (1982),
and "Whatcha Gonna Do (When I'm Gone)" (1982) were popular both in
Canada and in the U.S. Rolling Stone Magazine wrote:
"At their best, Chilliwack was the finest Canadian rock band, outrocking BTO and outwriting Burton Cummings. But a lack of consistency kept it from international success."
Henderson and MacLeod received a Best Producer Juno Award in 1982 for Opus X.
However, echoing the Mushroom problems, Millennium Records then
collapsed. MacLeod and Bryant left the band soon after, and Chilliwack's
last new studio recording was released in 1984 with Henderson as the
only continuing member. Henderson continued to tour as Chilliwack with
other players until December 1988. In 1989 Henderson went on to form the
folk-rock supergroup UHF. Henderson also continued touring with Chilliwack, releasing a new live album in 2003.
I have been very busy, I will post in a day or 2 what has been transpiring, to catch up the blog.
Meanwhile.....
I still remembered when this happened, I also remembered the coup attempt from the hardliners in August of that same year. They hastened the end of the Soviet Union. The Resulting standoff burnished the status of Boris Yeltzin who stood with the citizens against the Army when they tried to seize the White House of Russia when he climbed on a tank and inspired the citizens to stand together and many of the Army also switched allegiance from the Coup leaders. I remembered watching all of this on TV in a state of shock, it felt like when the wall was coming down in Berlin in 1989 kind of shift politically. I couldn't believe when the Soviet Union vanished with a whimper, not a bang....the evil Empire was gone.....it felt strange to see, I thought all this good stuff from the Wall going down, to Germany Unification, to the Gulf War to the Soviet Union peaceably transitioning showing the stable statesmanship would guarantee Bush Senior a second term, but it shows what I know. Clinton got elected in the 1992 election.
25 Dec 2021
Associated Press|By
VLADIMIR ISACHENKOV
MOSCOW (AP) — People strolling across
Moscow's snowy Red Square on the evening of Dec. 25, 1991 were surprised
to witness one of the 20th century’s most pivotal moments — the Soviet
red flag over the Kremlin pulled down and replaced with the Russian
Federation's tricolor.
Just minutes earlier, Soviet President Mikhail Gorbachev announced
his resignation in a live televised address to the nation, concluding 74
years of Soviet history.
In his memoirs, Gorbachev, now 90, bitterly lamented his failure to
prevent the USSR's demise, an event that upset the world's balance of
power and sowed the seeds of an ongoing tug-of-war between Russia and
neighboring Ukraine.
“I still regret that I failed to bring the ship under my command to
calm waters, failed to complete reforming the country,” Gorbachev wrote.
Political experts argue to this day whether he could have held onto
his position and saved the USSR. Some charge that Gorbachev, who came to
power in 1985, could have prevented the Soviet breakup if he had moved
more resolutely to modernize the anemic state-controlled economy while
keeping tighter controls on the political system.
Soviet Flag lowered for the last time and the Russian Federation Tricolor is raised.
“The collapse of the Soviet Union was one of those occasions in
history that are believed to be unthinkable until they become
inevitable,” Dmitri Trenin, the director of the Moscow Carnegie Center,
told The Associated Press. “The Soviet Union, whatever its long-term
chances were, was not destined to go down when it did.”
By the fall of 1991, however, deepening economic woes and
secessionist bids by Soviet republics had made the collapse all but
certain. A failed August 1991 coup by the Communist old guard provided a
major catalyst, dramatically eroding Gorbachev’s authority and
encouraging more Soviet republics to seek independence.
While Gorbachev desperately tried to negotiate a new “union treaty”
between the republics to preserve the USSR, he faced stiff resistance
from his arch-rival, Russian Federation leader Boris Yeltsin, who was
eager to take over the Kremlin and had backing from other
independent-minded heads of Soviet republics.
On Dec. 8, the leaders of Russia, Ukraine and Belarus met in a
hunting lodge, declaring the USSR dead and announcing the creation of
the Commonwealth of Independent States. Two weeks later, eight other
Soviet republics joined the newly formed alliance, handing Gorbachev a
stark choice: step down or try to avert the country's breakup by force.
The Soviet leader analyzed the tough dilemma in his memoirs, noting
that an attempt to order the arrest of the republics' leaders could have
resulted in a bloodbath amid split loyalties in the military and law
enforcement agencies.
“If I had decided to rely on some part of the armed structures, it
would have inevitably triggered an acute political conflict fraught with
blood and far-reaching negative consequences,” Gorbachev wrote. “I
couldn’t do that: I would have stopped being myself."
What would have happened had Gorbachev resorted to force is hard to
imagine in retrospect, the Carnegie Center's Trenin observed..
“It might have unleashed bloody events in Moscow and across Russia,
maybe across the Soviet Union, or it might have consolidated some
things,” he said. “Had he decided to go down that route...there would
have been blood on his hands. He would have had to turn into a sort of a
dictator, because that would have...done away with his most important
element of legacy; that is, not using force in a massive way.”
When the leaders of Russia, Belarus and Ukraine declared the Soviet
Union defunct, they didn't pay much attention to what would happen to
the 4-million-strong Soviet military and its massive nuclear arsenals.
After the Soviet collapse, it took years of U.S.-led diplomatic
efforts to persuade Ukraine, Belarus and Kazakhstan to hand over to
Russia the Soviet nuclear weapons left on their territories — a process
finally completed in 1996.
“The leaders of the republics that announced the end of the Soviet
Union in December 1991 did not think through all the consequences of
what they were doing,” Gorbachev’s aide, Pavel Palazhchenko, told the
AP.
Russian President Vladimir Putin, whose two decades at the helm is
longer than Gorbachev and Yeltsin's tenures combined, has famously
described the Soviet collapse as “the greatest geopolitical catastrophe
of the 20th century.”
“The breakup of the Soviet Union was the collapse of a historic
Russia,” Putin said in a documentary that aired this month on Russian
state television. “We lost 40% of the territory, production capacities
and population. We became a different country. What had been built over a
millennium was lost to a large extent.”
The Kremlin moved to redraw the post-Soviet borders in 2014,
responding to the ouster of Ukraine’s former Moscow-friendly leader by
annexing the Ukrainian Crimean Peninsula and throwing its weight behind
separatist rebels in its neighbor's east.
More than seven years of fighting in Ukraine's eastern industrial
heartland has killed over 14,000 people. Tensions flared up in recent
weeks over a Russian troop buildup near Ukraine that fueled Western
fears of an invasion.
Moscow has denied plans for an offensive and sternly urged the U.S.
and its allies to provide a binding pledge that NATO wouldn't expand to
Ukraine or deploy weapons there — a demand rejected by the West.
Putin and his officials countered the Western argument that Russia
doesn't have a say in the alliance's expansion by emphasizing the
country's right to protect its core security interests.
“Russia has never pretended to have the right of vote to make
decisions for other countries,” Konstantin Kosachev, a deputy speaker of
the upper house of Russian parliament, told the AP. “But we have an
absolute right of vote to ensure our own interests and security, and to
offer our vision of a security environment in the nearby regions."
While Putin has repeatedly denied intentions to rebuild the USSR, he
has described Russians and Ukrainians as “one people” over angry
protests from Kyiv and charged that Ukraine unfairly inherited historic
parts of Russia in the Soviet demise.
The Russian leader further toughened his rhetoric Thursday amid
spiraling tensions with the West, blaming Soviet founder Vladimir Lenin
for handing Russian lands to Ukraine to “create a country that had never
existed before.”
Been way busier than I planned, I have a mostly completed 747 post I am trying to finish., but until then, read the folks on the sidebar.....they are way better than I am, I draw my inspiration from them.
Well I figured I would run out a Christmas song for Monday Music and I
always liked "little Drummer Boy with David Bowie and Bing Crosby. To
me this song plays well with their own music strength and is one of the
best known and unusual duets in Music history...Think about it Bing
Crosby, the classic crooner and Ziggie Stardust. Whodda thunk it?
But they played well together and created in instant classic. This
song and one other are my favorite Christmas Songs.
"Peace on Earth/Little Drummer Boy" (sometimes titled "The Little Drummer Boy/Peace on Earth") is a Christmas song with an added counterpoint performed by David Bowie and Bing Crosby. "Little Drummer Boy" is a Christmas song written in 1941, while the "Peace on Earth" tune and lyrics, written by Ian Fraser, Larry Grossman, and Alan Kohan, were added to the song specially for Bowie and Crosby's recording.
Recording
The track was recorded on September 11, 1977 for Crosby's then-upcoming television special, Bing Crosby's Merrie Olde Christmas. The pair exchanged scripted dialogue about what they each do for their family Christmases, before singing "Little Drummer Boy" with a new counterpoint with original lyrics written for the special, "Peace on Earth".
Bowie's appearance has been described as a "surreal" event,
undertaken at a time that he was "actively trying to normalise his
career" He has since recalled that he only appeared on the show because "I just knew my mother liked him"Buz Kohan
was not sure that Crosby knew who Bowie was, but Ian Fraser claimed,
"I'm pretty sure he did. Bing was no idiot. If he didn't, his kids sure
did."
According to co-writer Ian Fraser, Bowie balked at singing "Little
Drummer Boy": "I hate this song. Is there something else I could sing?",
Fraser recalls Bowie telling him. Fraser, along with songwriter Larry Grossman and the special's scriptwriter, Buz Kohan,
then wrote "Peace on Earth" as a counterpoint to "Little Drummer Boy".
Crosby performed "Little Drummer Boy", while Bowie sang the new tune
"Peace on Earth", which they reportedly performed after less than an
hour of rehearsal.
Crosby died on October 14, nearly five weeks after recording the special at Elstree Studios near London; in the U.S., the show aired just over a month later, on November 30, 1977, on CBS. In the United Kingdom, the special first aired on December 24, 1977 on ITV.
Release
The song was available for some years as a bootleg single backed with "Heroes", which Bowie had also performed on the TV special. In 1982, RCA issued the recording as an official single, complete with the dialogue, arbitrarily placing "Fantastic Voyage" from the Lodger
album on the B-side. Bowie was unhappy with this move, which further
soured his already strained relationship with RCA, and he left the label
soon after.
The single debuted on the UK singles chart in November 1982, and
climbed to position number three on the chart, boosted by a 12" picture
disc release. It has since become a perennial on British Christmas
compilation albums, with the TV sequence also a regular on UK nostalgia
shows.
In the United States, "Peace on Earth/Little Drummer Boy" became a staple on radio stations during the Christmas season.
On November 9, 2010, Collector's Choice Music released a 7-inch vinyl edition of "Peace on Earth/Little Drummer Boy" on red-colored vinyl in the United States. The flip-side of the single contained a Bing Crosby/Ella Fitzgerald duet of the song "White Christmas", recorded in 1953. The single was limited to 2,000 copies.
I always liked the little Wildcat and the little plane always seemed to get the short shift compared to the Japanese Zero, but with a good pilot, the little Wildcat can more than hold her own.
Replacing Grumman's aging F3F biplane, the F4F
Wildcat monoplane fighter proved an invaluable asset in the U.S. Navy’s
Carrier Arsenal.
By Joseph Frantiska, Jr.
From the time of the Wright brothers, the vast majority of aircraft
were biplanes with two wings stacked one above the other. The
low-powered engines of the day dictated that the structure be as strong
but also as light as possible. The stress and structural integrity would
be accommodated by a series of struts and wires. With a virtual forest
of struts and wires, the biplane created a lot of drag.
The solution seemed to be a single-wing or “monoplane” configuration,
made possible by more powerful engines that could support heavier
structures. But how to create a strong monoplane structure?
The answer was the cantilevered, or self-supporting, wing, with all
of the supporting members within itself to take the place of the
external struts and wires of the biplane configuration. A single large
structural element called the main spar runs through the entire wing
span, designed to handle this stress by spreading it through the
fuselage from one wing tip to the other. To resist these forces, a
secondary smaller member called a drag spar is located at a distance
behind the main spar.
All of these technological advances brought the day of the carrier
biplane fighter to an end. In 1935, the Navy issued a request for
proposal to design and build a monoplane fighter to replace the Grumman
F3F biplane fighter.
The XF4F-2 was an all-metal monoplane with a cantilever mid-wing
weighing 5,535 lbs. Cutting-edge technologies included the NACA 230
airfoil with a maximum speed of 290 mph, a 1,050 hp. Pratt & Whitney
R-1830-66 Twin Wasp radial with a single-stage supercharger, and a
Hamilton Standard constant-speed propeller.
However, not all aspects of the new fighter were state-of-the-art;
the landing gear was lowered or raised by 30 turns of a hand crank. A
significant amount of pressure and torque could cause a serious hand
injury if one were not careful.
Armament was two .30-caliber machine guns in the fuselage and provisions for two .50-caliber guns in the wings, or one 100-lb. bomb under each wing.
The XF4F-2’s first flight was on September 2, 1937, with Grumman test
pilot Robert Hall at the controls. In April 1938, it was flown to the
Naval Air Factory in Philadelphia for evaluation. On April 11, the
XF4F-2 was undergoing a simulated carrier deck landing when engine
failure caused the pilot to make a forced landing in a farm field, which
flipped the aircraft onto its back. The pilot was not seriously hurt,
but the aircraft had serious damage and was sent back to the factory for
repairs.
But the XF4F-2 showed enough promise not to be rejected completely.
Grumman used the same fuselage form and landing gear as it developed a
new prototype, which was designated the XF4F-3. The fuselage was
lengthened as were the wings, which received squared-off tips to improve
maneuverability. The wing area was increased, the tail section was
redesigned, and the gross weight increased by 600 lb. It was powered by a
1,200 hp. Pratt & Whitney XR-1830-76 radial engine with a
two-stage, two-speed supercharger driving a Curtiss Electric propeller.
The first flight was on February 12, 1939, achieving a speed of 333.5
mph at 21,300 feet. Thus, the Navy primary requirement of a 300 mph
maximum speed was accomplished. The Navy awarded Grumman a production
contract on August 8, 1939, for 54 “Wildcats,” as they were dubbed, with
the first to be delivered in February 1940.
Several test pilots who flew the Wildcat found it to be a formidable
aircraft, despite criticism for its small size and lack of agility.
British test pilot Eric “Winkle” Brown and U.S. Navy/Grumman test pilot
Corwin “Corky” Meyer weighed in on the Wildcat’s personality in the air:
“The design of any combat aircraft involves a measure of compromise and
that of the shipboard single-seat fighter perhaps more than most as its
success depends particularly heavily on the right balance being struck
between the demands of combat and the dictates of the venue in which it
is to spend its entire working life.
“A masterpiece in coalescence of the contradictory factors called for
in a fighter suited to the naval environment was, in my view, the
corpulent but rugged and pugnacious little warplane…which was to
establish Grumman’s famed genus Felis.”
About the manual landing-gear retraction system, Corwin “Corky” Meyer
had this to say: “It was simple in design, but its operation left a lot
to be desired. The crank handle was located on the right side of the
cockpit. Thus, the pilot had to remove his left hand from the throttle
(and sincerely hope that he had tightened the throttle friction knob
before takeoff), grab the control stick, and use his now-free right hand
to actuate the landing gear lever to the ‘retract’ position and then
complete the strenuous cranking task of 31 turns to raise the gear.”
Production F4F-3s removed the .30-caliber fuselage guns and used four
.50-caliber machine guns in the wings with the horizontal stabilizer
set higher on the tail. The third and fourth production F4F-3s were
fitted with the 1,200 hp. Wright Cyclone R-1820-40 engine and designated
the XF4F-5.
The fifth and eighth production F4F-3s were given armor protection
and reinforced landing gear. Some early F4F-3s were fitted with
automatically deployed flotation bags on the wings in case of a
ditching. The idea worked when, on May 17, 1941, Ensign H. E. Tennes of
the USS Enterprise’s VF-6 ditched his F4F-3 into San Diego Bay due to
landing-gear failure. Shortly thereafter, the flotation system was
deleted to save weight, and it was thought that a floating aircraft in a
combat area could just as easily be recovered by the enemy.
The Navy was concerned that there might not be enough carriers or
land bases to operate its aircraft from in the Pacific Theater. One
F4F-3 was fitted with twin “Edo” floats and called the F4F-3S
“Wildcatfish.” Its first flight took place on February 28, 1943, piloted
by Grumman test pilot F. T. Kurt.
As the war progressed, American industry could more than keep up with
the need for carriers, and the Navy Seabee construction battalions
could transform jungle into airstrips at a rapid pace. The purpose for
the F4F-3S vanished, and with it so did any further development beyond
the prototype.
The advances made on the F4F-3 made it attractive to America’s
allies, so in 1939, France placed an order for 81 export versions
designated as G36As. It differed from the standard F4F-3 in that it was
powered by a 1,200 hp Wright R-1820-G205A-2 Cyclone engine, with a
single-speed, two-stage supercharger.
The French G-36A version required six wing-mounted 7.5mm Darne
machine guns with an OPL 38 gunsight, Radio-Industrie-537 communication
equipment, instrumentation based on the metric system, and a throttle
that operated in reverse of that of U.S. aircraft.
Folding wings were necessary to stow as many aircraft as possible in
the limited hanger deck space on a carrier. The F4F-4 was the first
Wildcat to feature a Grumman folding-wing innovation known as the
“Sto-Wing.”
Most folding-wing naval aircraft of the time were able to fold their
wings via a simple hinge point outboard of the landing gear. However,
the Sto-Wing used a compound angle approach that was unique to Grumman
aircraft.
The brilliant Leroy Grumman developed the idea by experimenting with a
rubber eraser in place of a fuselage and a paperclip in the place of a
wing. Attaching the paperclip into the side of the eraser as a wing
attached to a fuselage, through trial and error he found the angle where
the wing would fold flat against the fuselage. It was so successful
that it was later used on Grumman’s F6F Hellcat fighter and TBF Avenger
torpedo bomber.
In 1942, Grumman was a busy place, as the company was building not
only the Wildcat but the TBF Avenger torpedo bomber, as well as the J2F
Duck and J4F Widgeon amphibians. The production capability reached a
tipping point when Grumman decided to focus their fighter efforts on the
Wildcat’s successor: the more powerful and lethal F6F Hellcat.
The Wildcat’s production was transferred under contract to General
Motor’s Eastern Aircraft Division in Linden, New Jersey. The contract
called for 1,800 F4F-4s, which were designated the FM-1 (F= fighter,
M=General Motors). Of the entire production order, 311 aircraft were
delivered to Britain as the Martlet V.
In comparison to the F4F-4, the FM-1 had four .50-caliber
wing-mounted guns. A total of 839 FM-1s were delivered to the U.S. Navy
and U.S. Marine Corps by late 1943 before production was halted in favor
of the lighter FM-2.
The F4F-7 was a long-range photographic reconnaissance version with a
total fuel capacity of to 695 gallons, with 555 gallons in non-folding
wings filled with fuel tanks. This gave it the highest loaded weight of
all Wildcats at 10,328 lbs. Missions as long as 25 hours and a maximum
range of 3,700 miles were possible. Such long flights could be taxing on
the pilot, so a Sperry Mark IV automatic pilot was installed.
To aid in pilot visibility, it was fitted with a rounded Plexiglas
windscreen, which was put to good use shortly after the F4F-7s initial
flight on December 30, 1941, when the Bureau of Aeronautics’ Lt. Cmdr.
Andy Jackson flew across the country in 11 hours at an average speed of
165 mph.
A Fairchild F-56 reconnaissance camera replaced the reserve tank and
was placed just behind the main fuel tank. The camera was the only item
that the pilot could “shoot” targets with, as there was no armament
installed to save weight. Pilot armor was also not added as an
additional weight-saving measure.
Such a large amount of fuel could pose a problem in a variety of
situations, so two emergency fuel dump tubes were located under the
rudder.
While orders for this type exceeded 100 units, only 20 were built,
and these were converted to F4F-3s. Two F4F-7s were used by the 1st
Marine Air Wing at Henderson Field on Guadalcanal. After being destroyed
in Japanese air raids, they were replaced by aircraft from Marine
Observation Squadron 251 (VMO-251).
Total production of the Wildcat, excluding prototypes, was 7,898
aircraft, with 5,927 produced by General Motors. Production ended in
August 1945 with the conclusion of the war in the Pacific.
The Wildcat’s first combat experience came in the Pacific, on
December 8, 1941, the day after the Pearl Harbor attack, when Japanese
forces attacked Wake Island. A squadron of 12 Wildcats from Marine
Fighter Squadron VMF-211 were based on Wake, with four airborne on
patrol duty. Due to poor weather, they failed to intercept the 36
Mitsubishi G3M bombers that attacked the airfield on Wake, destroying
seven of the eight Wildcats on the ground.
The Wildcat had its revenge three days later, when Japanese ground
troops disembarked from ships to invade Wake. Four Wildcats attacked the
invasion fleet and aided in sinking a destroyer and forcing the fleet
back to sea. When the Japanese force returned on December 22, only two
Wildcats were still flying. Wake fell to the Japanese the next day.
The Battle of Midway would be a somewhat more impressive experience
for the Wildcat, as its lack of maneuverability against the agile
Japanese aircraft was countered by employing an innovative tactic called
the “Thach Weave.”
The Thach Weave was an aerial combat tactic developed by U.S. Navy
pilot John S. “Jimmy” Thach and named by fellow aviator James H. Flatley
soon after the United States entered World War II.
Thach had read an intelligence report published in the September 22,
1941, Fleet Air Tactical Unit Intelligence Bulletin about the Japanese
Zero’s amazing agility and climb rate. He commenced to develop tactics
to give the slower and less-agile Wildcats an advantage in combat. He
developed what he called “Beam Defense Position,” which would become
known as the Thach Weave.
It was executed either by two fighter aircraft or by two pairs of
fighters in formation. When an enemy selected one fighter as his target
(the “bait”), the two elements turned in towards one another. With one
aircraft crossing behind the other, they waited to have adequate
distance from one another and repeated the crossing maneuver in a
weaving fashion. This would bring the enemy aircraft in front of the
other element, called the “hook,” which would then fire on the enemy.
Positioning was valued over maneuverability. Thach asked Ensign Edward
“Butch” O’Hare, the leader of the second section in Thach’s division, to
test the idea.
In the test, Wildcats were used as both the enemy aircraft and pairs
of “bait” and “hook” aircraft. Thach took off with three other Wildcats
as the bait/hook aircraft as O’Hare led four Wildcats in the role of
“enemy” aircraft. The bait/hook aircraft had their throttles’ travel
restricted to reduce their performance, while the “enemy” aircraft had
their throttles unrestricted to create superior performance as in the
Zero fighters.
After a series of “attacks,” in every situation Thach’s fighters had
either thwarted the attack or got into a position to return fire. O’Hare
excitedly commended Thach, “Skipper, it really worked. I couldn’t make
any attack without seeing the nose of one of your airplanes pointed at
me.”
The first combat test of the tactic was during the Battle of Midway
in June 1942, when a squadron of Zeroes attacked Thach’s flight of four
Wildcats. Thach’s wingman, Ensign R. Dibb, was the “bait,” and when he
was attacked, he turned towards Thach. Thach, in turn, dove under Dibb,
firing at the incoming Zero’s underside until its engine was ablaze.
The maneuver soon found its way into the repertoire of U.S. Navy and
U.S. Army Air Corps pilots. Marine Wildcat pilots flying out of
Henderson Field on Guadalcanal also adopted the tactic.
Celebrated Japanese ace Saburō Sakai described his reaction and that
of his fellow pilots when they encountered the Guadalcanal Wildcats
using it: “For the first time Lt. Cmdr. Tadashi Nakajima encountered
what was to become a famous double-team maneuver on the part of the
enemy. Two Wildcats jumped on the commander’s plane. He had no trouble
in getting on the tail of an enemy fighter, but never had a chance to
fire before the Grumman’s teammate roared at him from the side. Nakajima
was raging when he got back to Rabaul; he had been forced to dive and
run for safety.”
There were many U.S. Navy and U.S. Marine Corps pilots who became
aces in the Wildcat, and they all deserve respect for their gallantry
and service. But the exploits of four earned them America’s highest
award for valor: the Medal of Honor.
Being a one-man air force was a trait common among a number of pilots
who received the MoH, and Wildcat pilot 1st Lt. James Elms Swett was
one of them.
Swett was a USMC fighter pilot and was awarded America’s highest
military decoration for actions with VMF-221 over Guadalcanal on April
7, 1943. His first combat mission was as leader of a formation of four
Wildcats on a combat air patrol over the Russell Islands in the Solomon
Islands on April 7, 1943, in anticipation of a large air attack; they
were scrambled as 150 Japanese aircraft were reported approaching
Ironbottom Sound. Sighting a large formation of Japanese Aichi D3A “Val”
dive bombers attacking Tulagi harbor, the fight began.
Swett pounced on three Vals that were diving on the harbor and shot
down two. As he was evading the fire of the third Val’s rear gunner, his
plane’s left wing was hit by friendly ground fire. He persevered and
downed the third Val as he turned toward a second formation of six more
Vals.
He repeatedly dove on the formation, downing one Val in each attack
with short bursts of his machine guns. After splashing four Vals, he
began attacking a fifth when his ammunition was exhausted. The
22-year-old Marine pilot from Seattle, Washington, had performed the
extremely rare feat of becoming an ace on his first combat mission, with
seven kills—a feat for which he was awarded the Medal of Honor.
Wounded after being hit by enemy fighters, Swett’s ditched his
damaged fighter off Florida Island after his oil cooler had been hit,
causing his engine to seize; he crashed into the waters of Tulagi
harbor.
With his nose broken and his face bleeding from broken Plexiglass,
Swett went underwater with his plane but managed to release his harness
and bob to the surface. When a Coast Guard boat approached, a crewman
shouted, “Are you an American?”
“Damn right I am!” Swett shouted back.
After being patched up, he would get back in the war. In July 1943,
flying a Corsair, Swett was shot down by a Japanese Zero near the island
of New Georgia and was rescued by two natives in a canoe.
He later flew from the aircraft carrier Bunker Hill and carried out
strikes supporting the Iwo Jima and Okinawa invasions in 1945. He flew a
total of 103 missions, was credited with downing 16 Japanese planes and
sharing in the destruction of one more, and had another nine
“probables” shot down by war’s end.
Swett survived the war and died in 2009 at the age of 88.
A final tribute to the ruggedness of the Wildcat came from Saburo
Sakai, who recalled an encounter with the American plane: “I had full
confidence in my ability to destroy the Grumman and decided to finish
off the enemy fighter with only my 7.7mm machine guns. I turned the 20mm
cannon switch to the ‘off’ position, and closed in.
“For some strange reason, even after I had poured about five or six
hundred rounds of ammunition directly into the Grumman, the airplane did
not fall, but kept on flying. I thought this very odd—it had never
happened before—and closed the distance between the two airplanes until I
could almost reach out and touch the Grumman.
“To my surprise, the Grumman’s rudder and tail were torn to shreds,
looking like an old torn piece of rag. With his plane in such condition,
no wonder the pilot was unable to continue fighting! A Zero which had
taken that many bullets would have been a ball of fire by now.”
Tough, rugged, and it could give a punch as well as take one—the kitten definitely had claws.
By the end of 1944, the Soviet Red Army had surrounded the Hungarian
capital of Budapest and established strong defensive positions running
from Esztergom on the Danube to Lake Balaton. On the last day of the
year, the provisional government set up by the Soviets in those parts of
Hungary occupied by the Red Army threw in its lot with the Allies and
declared war on Germany.
Hungary, the last of Hitler’s partners in his European Axis, had
deserted him—but not the Hungarian Army. In order to protect the country
from the Bolsheviks, whom they feared and hated, what was left of the
Hungarian Army continued to fight alongside the Germans.
On New Year’s Day 1945, the only sizable German reserves on the
Eastern Front launched an offensive, code-named Konrad, to relieve
Budapest and secure the southern Hungarian oil reserves. By January 6,
General Herbert Otto Gille’s IV SS Panzer Corps had come within 25
kilometers of the Hungarian capital, but then, in the face of rapidly
redeployed Soviet units, the attack stalled. On the same day, the
Russians launched an attack across the Gran River, north of the Danube,
with the equivalent of two tank divisions and four infantry divisions.
Designed to disrupt the German offensive, the attack was successful and
had advanced some 50 kilometers by the 8th.
German countermeasures succeeded in halting the attack, and by the
14th the Russians had lost half their gains and some 200 tanks;
nevertheless, they still held a sizable bridgehead west of the Gran
River.
In the meantime, Gille’s IV SS Panzer Corps had renewed its attack on
January 10, and, after taking the Soviets completely by surprise, had
advanced to within 21 kilometers of Budapest by the 13th. Then, despite
Gille’s assurance that he was on the verge of a breakthrough,
Headquarters Army Group South inexplicably called a halt.
SS Lieutenant Colonel Fritz Darges, commanding the 5th SS Panzer
Division’s Panzer Regiment said later, “The head of our assault unit
could see the panorama of the city in their binoculars. We were
disappointed and we could not believe the attack was stopped. Our morale
was excellent and we knew we could free our comrades the next day.”
Be that as it may, Hitler and the high command had other plans. On January 16, Field Marshal Gerd von Rundstedt,
commander of German forces more than 1,000 kilometers away on the
Western Front, received the following order: “CinC West is to withdraw
the following formations from operations immediately and refit them: I
SS Panzer Corps with 1st SS Panzer Division LAH [Liebstandarte Adolf
Hitler] and 12th SS Panzer Division HJ [Hitler Youth]; II SS Panzer
Corps with 2nd SS Panzer Division DR [Das Reich] and 9th SS Panzer
Division. Last day of refitting is 30th January.”
Also at this time Hitler sent his personal adjutant, SS Major Otto
Günsche, to warn the Sixth Panzer Army Corps commander, SS General Sepp
Dietrich, that within a month he would be required to move his army to
the Eastern Front to launch a new offensive designed to secure the vital
oil deposits in southern Hungary and perhaps even regain the oil of
Rumania. Both Dietrich and General Heinz Guderian,
the army group chief of staff, had wanted the Sixth Panzer Army
deployed behind the Oder River to protect Berlin and northern Germany,
but Hitler would have none of it. The only natural oil deposits in
German-controlled territory were those around Nagykanizsa in southern
Hungary, and, with Allied air attacks disrupting and often neutralizing
the synthetic gasoline production sites for long periods, it was
essential to protect them. Without this crude oil, the battle could not
be continued. Dietrich and the trusted divisions of the Waffen SS were
to be given responsibility for this new offensive, code-named Spring
Awakening.
In view of the time needed to refit and move the Sixth Panzer Army to
the Eastern Front and secure the ground west of the Danube for the new
offensive, Hitler ordered a third attack in Hungary on January 18, using
much- larger forces. This was designed primarily to cut off and destroy
all Soviet troops north of a line drawn from Lake Balaton, through
Székesfehérvar, to Budapest, and secondarily to liberate that city. The
Pest garrison had in fact withdrawn across the Danube to the hills of
Buda the night before.
Since the Russians had depleted their defenses in this area to meet
the previous German attacks in the north, the new offensive was
initially very successful. Within three days a large section of the west
bank of the Danube had been secured 35 kilometers south of Budapest,
and the Germans then turned north and northwest, threatening to link up
with other forces attacking in the north and cut off an entire Soviet
Front.
By the 26th, however, with their forces in the south only 20
kilometers from Buda and in the north half that distance, the Germans
were exhausted, and this was the moment when Marshal Rodion Y.
Malinovsky went over to the attack. Although the Germans continued to
hold Székesfehérvar and the ground between it and Lake Balaton, by
February 3 they were more or less back to their original positions. Buda
fell finally on February 14. The siege had lasted 51 days and had cost
the Axis over 70,000 men.
Meanwhile, Marshal Georgi Zhukov’s
and Marshal Ivan Konev’s offensives in the north had advanced over 150
kilometers; Warsaw, Lodz, and Cracow had fallen, and a Soviet Army had
entered East Prussia. The Red Army was now a mere 200 kilometers from
Prague and, worst of all for the German people, it had crossed the Oder
River and was only 70 kilometers from Berlin.
The Germans saw the Soviet bridgehead over the Gran River north of
Esztergom as a potential assembly area for a major Red Army thrust
toward Vienna, and as such it had to be eliminated before they could
launch their own Operation Spring Awakening. Therefore, on February 13,
Headquarters Army Group South ordered the commander of the German Eighth
Army “to attack, concentrating all available infantry and armored
forces, and accepting the consequent weakening of other front sectors,
with the newly arrived I SS Panzer Corps…after a short artillery
preparation, to thrust from the north, to destroy the enemy in the Gran
bridgehead.”
The operation was given the code-name South Wind.
Although the bridgehead had existed for over a month, the Germans had
no detailed intelligence of Soviet strength or dispositions within it.
The operation order issued on February 13 merely stated that aerial
photography and ground observation indicated that the Soviets were in a
defensive posture. It also noted that a mechanized division was
positioned in the center of the bridgehead, a guards mechanized corps
and a guards tank corps “with the attached Sixth Guards Tank Army are
probably located in the refitting area east of the Gran.” These units
could be expected to reinforce the bridgehead if necessary.
The order added that there were known to be antitank blocking
positions, supported by mortars to the west of Bruty, a continuous
“fighting trench” running from Obid in the south through Muzla and
Gbelce to just south of Bruty. The Parizs canal formed a considerable
obstacle due to flooding, and although the roads and tracks were
beginning to thaw out, they were not yet soft. Single bridges across the
Gran existed at Bina and Kamenin, and there were two more near Nana.
In fact, the Soviets were much stronger than the Germans realized. In
addition to the guards mechanized corps already mentioned, which
provided a centrally located mobile reserve, there were two guards rifle
corps in the bridgehead with a total of seven rifle divisions. Five of
the rifle divisions were in perimeter defense, while the other two
provided second echelon defense in depth. Even if these divisions were
below strength, this would still mean that the Germans were up against
well over 60,000 men with 100 to 230 tanks and self-propelled tank
destroyers, over 100 antitank guns, some 200 heavy mortars, and over 200
guns and howitzers.
Containing the Soviet bridgehead before the opening of the German
offensive were three German infantry divisions with one Hungarian
infantry division and parts of another, supported by elements of a
German panzer division.
The Germans were correct in their appreciation that the Soviet forces
were in a defensive posture. Although a new offensive was being
planned, this would not take place until mid-March, and in the meantime
the troops west of the Gran were clearly vulnerable. The bridgehead was
only 20 kilometers deep and 20 kilometers wide and, with a 30 to
40-meter-wide river behind them, it was clearly going to be difficult to
reinforce the Soviet troops in the bridgehead or, in the worse case,
withdraw them.
From the German point of view, the forthcoming battle was not without
its problems. Mounting the main attack from the south across the Danube
was obviously out of the question, and an attack from the west would
run against the grain of the country. The Germans therefore chose to
attack from the north. Even this had its difficulties. The Parizs Canal
was a major obstacle due to the early thawing of the winter snows, and
in the final stages of the advance the assault force would be compressed
into a narrow corridor, less than 10 kilometers wide, by a ridge to the
south of Luba and the Danube River.
Operation South Wind was to be led by Panzer Corps Feldherrnhalle.
This corps consisted of three infantry divisions and an armored group of
some 25 tanks. Its initial task was to seize the high ground,
particularly Point 190, to the south of Svodin, but the villages of
Svodin and Bruty were to be taken from the rear and any fighting there
was not to be allowed to interfere with the general advance south. SS
General Hermann Priess’s I SS Panzer Corps was to follow closely behind
the Feldherrnhalle and, after crossing the Parizs Canal, was to capture
the ridge running east from Gbelce before pushing on toward the Danube
at Sturovo. A reinforced regimental group from the Sixth Army south of
the Danube, known as the Hupe Regimental Group, was to establish a
bridgehead across the river near Obid in the early phases of the
offensive and cooperate with Priess’s men attacking from the north.
The Luftwaffe was tasked with supporting South Wind by attacking
known antitank defenses south of Svodin and Bruty and in the Muzla-Luba
sector, as well as delaying and destroying any Soviet reinforcements
attempting to cross the Gran River.
From February 12-15, I SS Panzer Corps moved to a staging area around
Nové-Zamky. Tracked vehicles moved by rail and those with wheels by
road. A platoon commander in the 9th SS Panzer Pioneer Company recalled,
“Rations were excellent. We learned from the civilian population the
various uses of paprika. The people were very friendly. They recounted
to us the good old days—Germany, Austria, Hungary. During the evenings
we drove to see films in Nové-Zamky.”
Then, on the night of the 16th, the 1st SS Panzer Division
Leibstandarte Adolf Hitler (LAH) and the 12th SS Panzer Division
Hitlerjugend (HJ) moved again into a final assembly area behind the
Feldherrnhalle. The latter’s infantry divisions were located in and
around the villages of Ruban, Dubnik, Velk‚ and Kvetna, and the armored
group near Farna. This was an ideal place to assemble with rolling hills
and plenty of cover.
In readiness for the attack, SS Maj. Gen. Otto Kumm, who had only
assumed command of the LAH on February 15, divided the available parts
of his division into a Panzergrenadier Group under the command of SS Lt.
Col. Max Hansen, Kampfgruppe (KG) Hansen, and a Panzer KG under SS Lt.
Col. Jochen Peiper—soon to become infamous for his part in the “Malmedy
Massacre.”
The former consisted of parts of the 1st and 2nd SS Panzergrenadier
Regiments, a detachment from the 1st SS Reconnaissance Battalion, the
1st Company of the 1st SS Panzerjäger Battalion, and two 37mm flak
batteries. Kampfgruppe Peiper was made up of 25 Panther and 21 Mk IV
medium tanks in one panzer battalion under SS Major Werner Poetschke, 19
Tiger IIs of SS Lt. Col. Hein von Westernhagen’s 501st SS Heavy Panzer
Battalion, the 3rd SS Mechanized Panzergrenadier Battalion, and part of
the 1st SS Panzer Artillery Battalion. According to the divisional chief
of staff, Ralf Tiemann, the rest of the division was still in transit
to the new battle area when the offensive began.
Hubert Meyer, the chief of staff of the HJ, has stated that the 12th
SS Panzer Division was more or less complete for South Wind and fought
in its conventional groupings. He claims 38 Mk IVs, 44 Panthers, and 13
Jagdpanzer IVs were operational just before the attack. The only combat
unit not mentioned in his account of the Gran bridgehead fighting is the
560th Heavy Panzerjäger Battalion. If, therefore, we exclude this
latter unit, we have a figure of 160 operational tanks and Jagdpanzers
in I SS Panzer Corps at the beginning of Operation South Wind, only 66
percent of its authorized holdings.
Despite the widespread flooding and poor road conditions caused by
the early thaw, Operation South Wind began at 0500 hours on February 17.
Leaving high ground on their right flank and with the Gran River on
their left, the Germans attacked across open, rolling, agricultural land
with few villages and no serious obstacles.
The artillery of I SS Panzer Corps joined in an opening barrage by
the guns of Panzer Corps Feldherrnhalle, and in the most critical area
of the attack, the center, the Russians were taken by surprise. By 0900
hours the leading elements of the 46th Infantry Division were near Point
190, having penetrated the Soviet defenses between Svodin and Bruty,
but there they ran into an antitank screen and a few individual T-34 tanks.
After calling for support from the LAH, a successful attack was
launched at 1140 hours, and by 1700 hours elements of both the LAH and
46th Infantry Divisions had reached the Parizs Canal in the area of
Sarkan only to find the bridges there destroyed.
A loader in one of Peiper’s tanks later remembered, “Peiper ordered
five King Tigers to drive over the hill. What a sight! As on a silver
platter, they appeared on the hill and immediately began taking fire
from the Russian antitank guns. We saw the shells bounce off the front
of the Tigers. That must have been a shock for the Russians, especially
since the Tigers destroyed one antitank gun after another.… Peiper
immediately gave the order: ‘Panzers—march!’ A hurricane of fire was
released as the KG drove over the hill in formation.… The tanks and APCs
drove at full speed, firing all barrels.… There was only one thing for
the Russians to do—clear out.… KG Peiper suffered no losses.”
During the early part of the night, a small infantry bridgehead was
established by KG Hansen, but no vehicles could cross. Nevertheless, it
had been a good day for the LAH and its associated 46th Infantry
Division. They had broken through the Soviet defenses and advanced
nearly 10 kilometers.
On the left flank things did not go nearly so well, and the 211th
Infantry Division of the Feldherrnhalle was stopped in front of Bruty by
a guards rifle division in fortified positions supported by antitank
guns, mortars and artillery.
Similarly on the right flank, the 44th Infantry Division of the
Feldherrnhalle ran into strong opposition from the 6th Guards Airborne
Division between Strekov and Svodin, and it was only after tanks joined
in the attack that further progress could be made. By 1700 hours, Svodin
had been captured and the advance continued toward the canal and
Vieska.
What of the Hitlerjugend Division? It had followed behind the LAH,
and during the afternoon the 26th SS Panzergrenadier Regiment was
committed on the right flank of its sister division to secure a crossing
of the Parizs Canal. The 1st Battalion of the 26th Regiment managed to
make a crossing just to the north of the large village of Gbelce by
about 2100 hours, and the 2nd Battalion followed into the shallow
bridgehead. Soon after midnight, the 2nd Battalion had reached the road
junction 1,500 meters northeast of Gbelce, and both battalions then went
firm. A small canal crossing, capable of taking wheeled vehicles, was
discovered in the same area. During the night the Russians
counterattacked with a battalion of infantry and at least two T-34s, but
were beaten off.
The commander of Army Group South, General Otto Wöhler, was anxious
that the Soviets should not be allowed to recover their balance and
build up a second defensive line to the south of the canal. To prevent
this from happening, the Hupe Regimental Group from south of the Danube
was ordered to cross the river that same night. This was achieved
without opposition.
In the early hours of the 18th, KG Hansen expanded its small
bridgehead, and Leibstandarte Pioneers (engineers) were able to bridge
the Parizs Canal. Four T-34s were claimed by Hansen’s 6th SS
Panzergrenadier Company during this fighting. Mines caused some further
delay, but soon after midday the first of Poetschke’s Mk IVs and
Panthers crossed the canal, and, despite an air attack by Soviet fighter
bombers, by early evening KG Peiper had reached the Gbelce-Nana railway
line, 3 kilometers north of Muzla.
Meanwhile, to the west of the LAH, the Feldherrnhalle’s 44th Infantry
Division had forced a passage over the Parizs Canal near Vieska, and in
the early afternoon its tanks were able cross. Then, in conjunction
with the 26th SS Panzergrenadier Regiment, a joint attack was launched
on Gbelce. The Feldherrnhalle Group was joined by SS Major Hermann
Brand’s 3rd SS Mechanized Panzergrenadier Battalion, and they took the
western part of the town. The 1st Battalion captured the eastern sector,
and the 2nd Battalion went on to secure the high ground 2 kilometers
further east. By evening, infantry and armor of the Feldherrnhalle were
in possession of Point 129, 3 kilometers south of Gbelce, and in contact
with the Leibstandarte.
On the 19th, the weather improved, and at 0530 hours I SS Panzer
Corps resumed its attack. KG Hansen of the Leibstandarte was given the
task of clearing the enemy from the vine-covered ridge south of Point
250, while KG Peiper resumed its advance on the north side of the
Gbelce-Nana railway. It was by no means an easy advance.
SS Lieutenant Rolf Reiser later described the action: “In the early morning our assembly was considerably delayed by
a Russian fighter bomber attack; we suffered the loss of several
tanks and wounded.…We set out astride the road with seven tanks of the
1st Company. I advanced … between the road and railway line with the
three Panthers of my Platoon.… Ivan attacked our open right flank at
short range with tanks from behind the cover of the railway embankment.
One of the Panthers … was hit and stalled.… SS Senior Sergeant Strelow,
the 3rd Platoon leader, set up to the right of me. Then there was a
detonation a short distance away and his tank was ablaze. I drove behind
a shed and slowly probed the other side until I had the T-34 broad-side
in front of me—no more than 50 meters away.…He burst into flames on the
first shot, the turret flew off after the second! Then the Tigers and
Panthers of the 2nd Company caught up and joined in the armored battle.
Two more enemy tanks were destroyed.”
Farther to the west, SS Captain Hans Siegel’s 2nd SS Panzer Battalion
of the Hitlerjugend, with Brand’s 3rd Mechanized SS Panzergrenadier
Battalion attached, had formed up during the night to the south of
Gbelce protected by the 25th and 26th SS Panzergrenadier Regiments. It
too advanced at 0530 hours with grenadiers leading the way on both sides
of the Sturovo road in case of mines and the tanks on the road itself.
Shortly before daybreak, KG Siegel came under artillery and antitank
gunfire from Muzla, but a quick attack, led by SS Lieutenant Helmut
Gaede’s 1st SS Panzer Company, took the village, and the surrounding
area was soon cleared by the 1st and 2nd Battalions of the 26th
Regiment.
While the HJ was preparing to resume its advance on Sturovo on the
south side of the Muzla-Sturovo road by way of Obid, the division
suffered a serious loss. SS Lt. Col. Bernhard “Papa” Krause was killed
in a surprise rocket attack. He had been a stalwart of the HJ since its
foundation and was revered by all its members.
The advance began again soon after midday, with the HJ moving on
Sturovo from the southwest and KG Peiper of the Leibstandarte from the
northwest. At about 1300 hours, when they were some 3 kilometers short
of Sturovo, the infantry element of KG Peiper, the 3rd SS Mechanized
Panzergrenadier Battalion, swung northeast to attack Nana. Poetschke’s
Mk IVs and Panthers and von Westernhagen’s Tiger IIs were joined by 20
Sturmgeschutze armored vehicles and infantry of the Hupe Regimental
Group from the Obid area for the assault on Sturovo.
In his citation for the oakleaves to Poetschke’s Knight’s Cross,
Peiper wrote, “Rushing headlong and firing wildly, his tanks overran the
antitank nets in front of Muzla and Sturovo, and after making contact
with the Southern Group [Hupe], which had been ferried over the Danube
in assault boats … pushed through to Esztergom.”
At the same time, an assault group from an infantry division holding
Esztergom crossed the Danube and joined in the attack. The Russians had
no chance in this vulnerable corner of their bridgehead, and before last
light the men of I SS Panzer Corps were gazing at Esztergom cathedral,
standing like a sentinel above the far bank of the mighty Danube. They
knew they had completed the hardest part of their task. Nana and Sturovo
were in the hands of the Leibstandarte and Hitlerjugend.
In other relevant actions on February 19, Batorove Kosihy and Buc
were occupied by a KG of Army Group South following their evacuation by
the Russians, and the 44th Infantry Division of the Feldherrnhalle
captured Kravany on the Danube and the forest to its east. In the
eastern part of the bridgehead, the 46th Infantry Division, with armored
support, had cleared the wooded, hilly area just to the west of Kamenny
Most, but, north of the Parizs Canal other elements of the division
were repulsed by a Soviet counterattack 2 kilometers short of Kamenin.
In the north, Bruty remained firmly in Russian hands.
From the outset of Operation South Wind, the Germans had been worried
that the Soviets would attempt to reinforce their bridgehead. They had
correctly identified parts of the IV Guards Mechanized Corp in the
northern part of the bridgehead, but they were particularly worried
about the whereabouts of the Sixth Guards Tank Army, and when aerial
reconnaissance reported 3,000 vehicles moving north from the Budapest
area, they became alarmed. Orders were issued for immediate night
attacks on Kamenny Most and Kamenin. Leaving the bulk of the LAH armored
group in Sturovo to replenish ammunition and supplies, the Mk IVs of KG
Peiper, with part of the 46th Division, attacked from Nana along the
Kamenny Most road. Another part of the 46th Division advanced north of
the Parizs Canal on Kamenin. Both attacks failed, and Soviet air
superiority and artillery fire from east of the Gran precluded any
further attempts during daylight on the 20th.
A two-phase operation was then ordered. In the first phase, the LAH
and 46th Infantry Division were to take Kamenny Most in the south of the
remaining bridgehead, while the HJ, with support from the 211th
Volksgrenadier Division (VGD), was to secure Bruty in the north. In a
second and final phase, the twin divisions of I SS Panzer Corps would
clear Kamenin and Bina, respectively.
Parts of KGs Peiper and Hansen, with support from the 46th Division,
successfully entered Kamenny Most during the night of the 21st, but soon
after dawn they were forced on to the defensive by Soviet artillery
fire and continuous air attacks.
Rolf Reiser recalled, “Peiper had decided upon a night attack because
we were covered by massive fire during the daytime from enemy artillery
positions on the raised eastern bank of the Gran.…We rapidly crossed
the softly rolling terrain directly under the chain of hills that ran
west of the road and railway line.…We turned east … in order to
penetrate frontally. Then massive Russian artillery fire was initiated. A
curtain of iron and fire hung before us. Flares and tracers illuminated
the night and showed us the way to the enemy positions…. We rattled
across the railway—then there was a crack and flash of light. We were
hit!… We caught fire immediately.… My gunner followed me as the last one
out of the turret. We landed in a trench with Ivan, who was as
surprised as we were. Armed only with pistols and bare fists, we
defended ourselves…. We finished off the Soviets in the cover of the
burning tank and the exploding ammunition.”
The assault was resumed with the coming of darkness, and by 2100 hours the last Russians had withdrawn from Kamenny Most.
Meanwhile, during the 20th and 21st, the Hitlerjugend was relieved by
the 44th Infantry Division and moved to a new assembly area southeast
of Farna in readiness for its assault on Bruty. The I SS Panzer Corps
was thus poised for its final battles west of the Gran River. With
aerial reconnaissance and other intelligence sources confirming that the
IV Guards Mechanized Corps had withdrawn across the Gran and other
troop movements toward the river had apparently halted, Hermann Priess
and his men had every reason to be confident of success.
Headquarters Army Group South concluded that the Soviets must be
expecting a German assault across the Gran. Therefore, defensive
positions on the east bank were being prepared with all available
reinforcements. In fact, Hitler had forbidden any such assault and
demanded that his Leibstandarte Corps be freed as soon as possible for
his new offensive, Spring Awakening, in the Lake Balaton area.
In preparation for its attack on Bruty, the HJ had to rely mainly on
aerial reconnaissance and on information provided by the 211th VGD,
which had already failed to take the village. This revealed that the
area was heavily fortified, with minefields backed by large numbers of
machine guns, mortars, and antitank guns in considerable depth. Since
the ground was completely open, the decision was made to undertake a
night operation.
The preliminary phases of the attack were marred by a number of
unfortunate incidents. The 25th SS Panzergrenadier Regiment, on the
right flank, failed to reach its starting line in time for the assault,
and, in the darkness, some of Siegel’s tanks failed to recognize the
Panzergrenadiers who were leading the attack on the left and opened fire
on them. Five men were killed, including a company commander, and
another eight wounded. This second disaster alerted the Russians, who
opened fire with machine guns and mortars.
Despite these problems, Siegel’s tanks began their attack at about
0445 hours in the wake of a bombardment by artillery, mortars, and
rocket launchers. Within minutes, however, the leading tanks ran into a
minefield, and several, including Siegel’s, were immobilized. These were
repaired under fire, and the tanks then withdrew behind a reverse slope
from where they supported the attack of the 9th Mechanized
Panzergrenadier Company, led by SS Lieutenant Dieter Schmidt. This
company was on the left flank of the attack and outside the minefield.
Although some of its APCs floundered in the soft ground of a streambed,
the rest managed to break through the defenders and reach the southern
edge of the village.
In the meantime, the 25th Regiment had joined in the attack, and
together with the other two battalions of Braun’s 26th Regiment took the
western and lower sectors of the village.
An SS Sergeant Burdack of the mechanized battalion later described
the scene: “The village was choked with enemy vehicles.…Several T-34s
and T-43s [light tanks], still inside the village, forced the APCs to
take cover.…The Russian tanks, without the protection of infantry,
left…in the direction of Bina.”
An SS officer remembered: “Fire from our heavy weapons had badly
damaged most of the buildings. Roofs had been stripped off; walls had
crumbled. During the pitched battle, civilians came out of the ruins of
their houses…unconcerned with what was going on around them…They were
obviously happy beyond measure to be liberated again from their
‘liberators.’”
Later that morning, Bruty was finally cleared by the 25th Regiment in
conjunction with troops of the 211th VGD who had advanced on the right
flank of the HJ and entered the village from the south. Eighty prisoners
were taken and a large number of antitank guns and mortars, two
undamaged T-34s, and six large caliber howitzers were found in the area.
Bruty was in German hands, but the cost had been high—particularly in
the 25th Regiment.
In the meantime, in preparation for the assault on Kamenin, elements
of KG Peiper had secured the road junction immediately north of Kamenny
Most.
The I SS Panzer Corps spent February 23 preparing for its final
assaults on Kamenin and Bina. The Leibstandarte, with elements of the
46th Infantry Division, was to attack the former, and the Hitlerjugend,
still with support from the 211th VGD, was to secure Bina and its bridge
across the Gran. Intelligence sources indicated that there were
elements of two motorized mechanized brigades still in the bridgehead.
H-hour was set for 0200 hours on the 24th.
In the HJ sector the most bitter fighting occurred in the area of the
railway line which runs north-south just to the west of Bina. This had
been heavily fortified, as had some of the flood dikes, but by using the
main Kvetna-Bina road as their axis and taking advantage of the gently
sloping ground, which dropped some 30 meters down to the village, the
tanks and SS Panzergrenadiers soon overcame all resistance. By 0830
hours the village had fallen. The last Russians blew the Gran bridge as
they withdrew.
In the southern part of the bridgehead, elements of the 46th Infantry
Division moved on Kamenin from the west, while the LAH attacked from
due south. The Mk IVs, Panthers, and Tigers of KG Peiper used the main
road as their axis and soon encountered a screen of 37 antitank guns
sited on the dominating ground to the south of the village.
Nevertheless, the attack was pressed home without regard to possible
casualties, and the sheer power of the armored assault was too much for
the Russians, who abandoned their guns and fled. Panzergrenadiers
followed up, and after some bitter house-to-house fighting the defense
was broken. By late afternoon, the Gran bridgehead had been eliminated.
The Germans claimed 71 tanks; 179 guns, howitzers, and antitank guns;
537 prisoners; and 2,069 Russian dead in the fighting upto February 22.
Of these, Peiper credits Werner Poetschke’s mixed SS Panzer Battalion
with 23 T-34s destroyed; 30 Hungarian, Italian-, British-, and
German-built tanks captured, and 280 enemy killed. According to a return
signed by Fritz Kraemer, the chief of staff of the Sixth Panzer Army, I
SS Panzer Corps suffered 2,989 casualties, including 413 killed in the
same period and, rather surprisingly, only three Mk IVs, six Panthers,
and two Tigers lost or in need of long-term repair. Figures quoted in
the histories of the LAH and HJ would indicate that this is a major
understatement.
Operation South Wind was, without doubt, a brilliant success. In
eight days, I SS Panzer Corps, admittedly with valuable assistance from
Panzer Corps Feldherrnhalle, had recaptured over 400 square kilometers
of territory, inflicted 8,800 casualties on the Red Army, and cleared
seven infantry divisions and a guards mechanized corps from west of the
Gran. It is remarkable that such an effective fighting machine could
have been produced within a month of the Battle of the Bulge disaster,
and it is even more so when one takes into account that many of men
involved had received only minimal training.
As Otto Kumm described the Leibstandarte, “The Division was in
miserable shape, only a shadow of its former self. After the heavy
losses in Normandy and during the Ardennes offensive, it had only
recently been refitted with personnel who were poorly trained former
members of the Army, Navy, Air Force, labor service and police.”
The performance of both the LAH and the HJ in South Wind can be
explained only by superb leadership, high morale and fighting spirit,
and a brilliant reinforcement and replacement system. That said, the
question arises as to whether this elite SS panzer corps should have
been used in this operation at all.
Despite all the measures taken to disguise the arrival of the Sixth
Panzer Army on the Hungarian front, units of I SS Panzer Corps were soon
detected in the Gran bridgehead operation. Its commitment there, rather
than in the northern part of the Eastern Front, and the knowledge that a
second SS Panzer Corps had arrived in Hungary, immediately alerted the
Soviets to the possibility of a German offensive. It is also obvious
that the premature use of the corps interrupted the proper refitting of
the two SS panzer divisions and, indeed, actually ensured that their
effectiveness in Operation Spring Awakening would be reduced.
Taken together, these facts indicate that the use of I SS Panzer
Corps in Operation South Wind was a serious mistake. The chief
operations officer of the Sixth Panzer Army, SS Lt. Col. Georg Maier,
expressed similar thoughts in his book Drama Between Budapest and
Vienna, published in 1975.