From October 3 to October 7, 2016 CIMSEC ran a topic week where contributors proposed alternative naval force structures to spur thinking on how the threat environment is evolving, what opportunities for enhancing capability can be seized, and how navies should adapt accordingly. Contributors had the option to write about any nation’s navy across a variety of political contexts, budgetary environments, and time frames.
Relevant questions include asking what is the right mix of platforms for a next-generation fleet, how should those platforms be employed together, and why will their capabilities endure? All of these decisions reflect a budgetary context that involves competing demands and where strategic imperatives are reflected in the warships a nation builds. These decisions guide the evolution of navies.
In a modern age defined by rapid change and proliferation, we must ask whether choices made decades ago about the structure of fleets remain credible in today’s environment. Navies will be especially challenged to remain relevant in such an unpredictable era. A system where an average of ten years of development precedes the construction of a lead vessel, where ships are expected to serve for decades, and where classes of vessels are expected to serve through most of a century is more challenged than ever before.
Authors: Steve Wills Javier Gonzalez Tom Meyer Bob Hein Eric Beaty Chuck Hill Jan Musil Wayne P. Hughes Jr.
Editors: Dmitry Filipoff David Van Dyk John Stryker
“Even the best alternative force structure that meets strategic needs, is more affordable than previous capabilities, and outguns the enemy could be subject to obsolescence before most of its units are launched. These case studies in alternative force structure suggest that such efforts are often less than successful in application.”
“The conundrum and implied assumption, with this or similar future force structure analyses, is that the Navy must have at least a vague understanding of an uncertain future. However, there is a better way to build a superior and more capable fleet—by continuing to build manned ships based on current and available capabilities while also fully embracing optionality (aka flexibility and adaptability) in unmanned systems.”
Is the U.S. Navy moving from an era of exceptional “ships of the line” – including LHA’s & LPD’s, FFG’s, CG’s, DDG’s, SSN’s and CVN’s – to one filled with USV’s, UAV’s, LCS’s, CV’s, SSK’s and perhaps something new – Long Range Patrol Vessels (LRPV’s)? But what in the world is an LRPV? The LRPV represents the 21stcentury version of the WWII APD – High Speed Transports.
“Designing and building new naval platforms takes time we don’t have, and there is still abundant opportunity to make the most of existing force structure. Fortunately for the Navy, histories of previous wars are a good guide for future action.”
“Luckily, the United States has three maritime services—the Navy, Coast Guard, and Marine Corps—with different core competencies covering a broad range of naval missions. Current investments in force structure can be maximized by focusing the maritime services on their preferred missions.”
“The Navy should consider investing high-end warfighting capability in the Coast Guard to augment existing force structure and provide a force multiplier in times of conflict. A more capable Coast Guard will also be better able to defend the nation from asymmetrical threats.”
“2045 is a useful target date, as there will be very few of our Cold War era ships left by then, therefore that fleet will reflect what we are building today and will build in the future. This article proposes several new ship designs and highlights enduring challenges posed by the threat environment.”
“The biggest deficiencies in reformulating the U. S. Navy’s force structure are (1) a failure to take the shrinking defense budget into account which (2) allows every critic or proponent to be like the blind men who formulated their description of an elephant by touching only his trunk, tail, leg, or tusk. To get an appreciation of the size of the problem you have to describe the whole beast, and what is even harder, to get him to change direction by hitting him over the head repeatedly.”
Dmitry Filipoff is CIMSEC’s Director of Online Content. Contact him at [email protected].
Featured Image: PACIFIC OCEAN (Oct. 27, 2017) Ships from the Theodore Roosevelt Carrier Strike Group participate in a replenishment-at-sea with the USNS Guadalupe (hull number). (U.S. Navy photo by Mass Communication Specialist Seaman Morgan K. Nall/Released)
The following originally appeared on Joint Force Quarterly and is republished with permission. Read it in its original form here.
By Kevin M. Woods and Thomas C. Greenwood
The term multidomain has reached beyond mainstream military parlance to dominate defense-related discussions, concept papers, and op-eds. While the idea of operating across warfighting domains is hardly original, the rapid growth of capabilities tied to the newly minted space and cyber domains is forcing a re-examination of all previous military concepts and doctrine. This article explores the debate around multidomain battle (MDB). Developing a new warfighting concept (as opposed to a slogan or bumper sticker) is difficult because new concepts need to demonstrate that they are sufficiently better than the status quo at addressing the challenges and opportunities in order to justify the disruptive effects of the change. This, as it should be, is a high bar.
The desks of the Pentagon are littered with “transformative” joint warfighting concepts that have appeared with great fanfare only to fall into obscurity. Despite serving as a vehicle to explore ideas, in the end, concepts like Rapid Decisive Operations and Air-Sea Battle failed to move beyond the nascent stage. Some of this can be attributed to a natural resistance to top-down joint concepts, the difficulty of exploring future concepts while maintaining readiness, the lack of coherent institutional processes for examining concepts across organizational boundaries, and, ultimately, the lack of patience for what can be an intellectual slog. As a result, many such efforts were never sufficiently examined so as to generate compelling evidence to drive more than cosmetic changes across the force.
This article advocates two approaches to exploring MDB. The first is to link the MDB concept to the existing body of available evidence. The second is to generate new evidence through experimentation. These approaches are offered not because Service concept developers have not already begun this process—as evidenced by the MDB draft concepts and plans for U.S. Army MDB experimentation in 2018 and 2019. Rather, this article argues that in addition to the bottom-up development of what could arguably be deemed a joint concept, there should also be a parallel effort to explore the top-down or explicit joint, theater-level implications of MDB.
The term multidomain itself is most often used as a modifier for a particular application of military force, such as (multidomain) battles, (multidomain) operations, or (cross or multidomain) fires; however, more substantially, MDB promises more fluid, adaptive, and effective operations simultaneously across five domains (land, sea, air, space, and cyber). Although operations are conducted in and occasionally across these five domains, the promise of a concept that makes domain integration the norm and not the exception is a tall order. Extraordinary claims require extraordinary evidence.
The logic of MDB’s underlying tenets is widely accepted, but that is not the same as demonstrating the concept’s viability. Will the application of a multidomain approach enable the Department of Defense (DOD) to overcome current warfighting challenges? Will it allow the Services to seize new opportunities? Or, instead, will MDB distract the Services from restoring atrophied conventional warfighting capabilities? Perhaps more importantly, can MDB serve as a unifying concept that DOD business processes can be organized around for the development of future concepts and capabilities?
MDB is a future concept (perhaps near-future, but future nonetheless). As such, it “must be stated explicitly in order to be understood, debated and tested to influence the development process.”1 The maturation of a concept is a critical first step in the birth of any capability. Concepts are narrative descriptions of suppositions formulated from historical and contemporary experiences; however, as debatable propositions, they must be validated before they transition from concept to capability. This requires settling the debatable elements. This article thus argues that concepts on the scale of MDB require a campaign of experimentation that provides compelling evidence for the concept by fleshing out its operational and institutional contexts.2
The State of the Debate
Proponents of the emerging MDB concept make the case that the joint force must adapt to the times, or, as one author put it, “multi-domain battle . . . doctrine is being developed to address the interconnected, Omni domain battlespace of the 21st Century.”3 One of MDB’s strongest proponents, Admiral Harry Harris, commander of U.S. Pacific Command, argues that “MDB conceptualizes bringing jointness further down to the tactical level [by] allowing smaller echelons to communicate and coordinate directly while fighting in a decentralized manner.”4 Regardless of the operating theater and specific mission, tactical-level MDB operations, noted U.S. Army Pacific Commander General Robert Brown, will drive the Services to “change their distinct Service cultures to a culture of inclusion and openness, focusing on a purple (or joint) first mentality.”5 Rhetorically, at least, the emerging MDB concept is progressing from the often stated but little realized goal of Service deconfliction to increasing interdependency and, in the optimistic version of MDB, seamlessly integrated operations across domains.6
MDB critics dismiss its significance by arguing that it is old wine in a new bottle.7 Even proponents agree that the “idea and desire for cross-domain effects is not new” but contend the traditional Service-domain alignments are inadequate for coping with the new security environment.8 A more fundamental challenge is made by those arguing that the categorization of future war by domain—especially but not limited to the cyber domain—is neither logical nor practical. As one observer notes, “the word [domain] contains some built-in assumptions regarding how we view warfare that can limit our thinking . . . [and] could actually pose an intractable conceptual threat to an integrated joint force.”9
Joining the critics are the cynics, some of whom see MDB’s real purpose as programmatic: a ploy to restore or preserve force structure by returning land power to the tip of the spear in joint operations.10 Others see the concept as requiring deep institutional reforms that are simply unattainable.11 As one pessimist argued, “without consistently organizing, training, and equipping as a joint team, the Services will be ill-prepared to provide multi-domain capable forces to combatant commanders, continuing history’s trend of falling short of the vision of jointness.”12 The institutional questions loom large here. At one end of the spectrum there are calls to form separate Services for the space and cyber domains.13 At the other end, one MDB proponent provides fodder for the cynics by arguing that the only way to implement MDB is to create a single force and eliminate the independent Services.14
Running parallel to the ongoing MDB debate are distinct theater versions of the concept. Because practice trumps theory in the application of military force, how the MDB concept evolves will be strongly influenced by how the operating theaters find a way to employ its promise.
In the Pacific, where much of the initial energy behind the cross-domain idea began, MDB has been described as:
ground-based batteries of anti-aircraft, anti-missile, and anti-ship weapons, supported by long-range sensors and jammers, that can strike targets well out to sea. Islands defended by such Army batteries (or Marine Corps outposts) could serve as unsinkable anvils, with the Navy and the Air Force as the highly mobile hammers.15
In support of developing MDB, the Army has recently established a Multi-Domain Task Force in U.S. Army Pacific to accelerate the process of overcoming the tactical and technical challenges associated with reincarnating the Army’s capability to “sink ships.”16 This bottom-up approach to building a joint capability, as one commentator noted, has the potential to simultaneously work toward joint interoperability, interdependence, and integration. But this may fall short of answering how the Services can organize, train, and equip themselves to sustain the readiness required to operate as an MDB capable force.17
Meanwhile in Europe, the Army is offering MDB as a conceptual solution to a different, but in many ways familiar, problem set. The Russian army is no longer the colossus of the Cold War era, but it still presents the challenge of mass. Whereas the Russia’s army does not boast a raw-troop-strength advantage over the North Atlantic Treaty Organization (NATO), it is threatening a multidomain equivalence in long-range missiles, rockets, drones, sophisticated cyber attacks, jamming, and an integrated information campaign.18The solution, argues the commander of the U.S. Army’s Training and Doctrine Command, is to take the multidomain fight to the adversary:
AirLand Battle started developing the concept of “extended battlefield.” This concept noted that different commanders had different views of the battlefield in geographical terms. [MDB] continues the concept of extended battlefield but now with a focus on the extension across domains and time. . . . [MDB] endeavors to integrate capabilities in such a way that to counteract one, the enemy must become more vulnerable to another, creating and exploiting temporary windows of advantage.19
This NATO-centric version of the MDB development process explicitly argues that, just as the earlier Soviet threat drove large-scale change in the U.S. military’s warfighting doctrines, the new Russian threat will drive long-overdue updates to Army force structure and critical warfighting capabilities, especially in the areas of long-range fires and cyber/electronic warfare.20
It is clear, then, that there are multiple lenses through which one can view the emerging MDB concept. Each perspective brings a unique set of operational and institutional contexts to the process of concept development. Having a unique perspective can be a healthy part of a robust debate, but progress requires an agreed-upon set of facts, or, in the case of an emerging concept, a common basis of evidence. The concept development challenge is to generate credible evidence that is relevant to decisionmakers from across the tactical-operational and conceptual-institutional divides.
The Emerging MDB Concept
According to a new Army–Marine Corps white paper, the MDB concept “describes how U.S. and partner forces organize and employ capabilities to project and apply power across domains, environments, and function over time and physical space to contest adversaries in relative ‘peace’ and, when required, defeat them in ‘war.’”21 The white paper posits three key tenets or “interrelated components of the solution,” as they are so labeled in the document.
First, MDB requires appropriate force posture for the “calibration of forward presence, expeditionary forces, and integration of partner capabilities to deter the adversary and, when necessary, defeat the enemy’s fait accompli campaign.” The latter is defined as an enemy campaign that seeks to rapidly achieve military and political objectives before an allied response can be generated. Next, MDB will be executed by resilient forces that “can operate semi-independently in the expanded operational area while projecting power into or accessing all domains.” Headquarters elements will use a mission command philosophy to integrate operations with advanced capabilities. Finally, converging joint force capabilities will “detect and create physical, virtual, and cognitive windows of advantage” during the three phases of an MDB campaign: competition, defeat the enemy in armed conflict, and return to competition. The white paper concludes by offering that the MDB concept allows U.S. forces to outmaneuver adversaries physically, virtually, and cognitively, applying combined arms in and across all domains. It provides a flexible means to present multiple dilemmas to an enemy by converging capabilities from multiple domains to create windows of advantage enabling friendly forces to seize, retain, and exploit the initiative to defeat enemies and achieve campaign objectives. Employing the ideas in this concept, the Joint Force can credibly deter adversary aggression, defeat actions short of armed conflict, deny the enemy freedom of action, overcome enemy defenses, control terrain, compel outcomes, and consolidate gains for sustainable results.
While these three tenets establish a useful framework for institutional considerations of the concept, they do not capture some of the explicit and tacit implications of MDB’s potential utility in a theater or joint campaign. To that end, this article offers the following four attributes, derived from the current MDB concept, as potentially useful in developing a joint campaign of experimentation to better understand the concept and to develop evidence for or against its military utility in the joint force.
First, despite the battle suffix, MDB may have more to do with campaigns than tactical actions. The battle aspects required to create windows of advantage are a necessary precondition to creating decisive overmatch.22 However, various descriptions point to an operational-level concept designed to maneuver friendly forces—and direct their kinetic and nonkinetic fires or effects—simultaneously across five domains.
Second, overmatch in one domain may trigger cross-domain multiplier effects that theater commanders can leverage to bypass, unhinge, and defeat an enemy. This, of course, works in both directions, which is why failing to adequately defend the force across multiple domains may have an outsize impact on war termination.23
Third, cyber and space domains may become tomorrow’s most valued battlespace given U.S. force dependence on the electromagnetic spectrum and satellite-enabled intelligence and communications. The continued development of sophisticated cyber weapons and employment means—as well as the direct and indirect weaponization of space—could exacerbate this trend.
Fourth, MDB implies the need to reexamine our approach to joint command and control. The authorities needed by geographic combatant commanders charged with planning, coordinating, integrating, deploying, and employing forces (and their effects) simultaneously across five domains will increasingly challenge the very concept of boundaries and the traditional relationships used to conduct joint campaigns.
The MDB concept remains more aspirational than practical at this point. To overcome the cognitive challenges and bureaucratic inertia described earlier, the concept needs to demonstrate that it is both more than the sum of its parts and sufficiently better than the status quo.
Operational Antecedents: Two Case Studies
Historical case studies aid the concept development process by contextualizing the problem. As critics and proponents alike have noted, “cross-domain” or combined arms operations stretch back into antiquity. The following case studies offer two examples of multidomain operations. Like any case study, some imagination is required to place the perceptions of the past into a future context. These cases provide some insights for how cross-domain capabilities, applied primarily at the tactical level, can have outsize operational implications.
Guadalcanal. The conceptual assumption in MDB is that the joint force commander must leverage the interdependencies occurring between diverse operational activities simultaneously across multiple domains. It is not enough just to manage, coordinate, deconflict, and integrate. In his 1987 article “Thinking About Warfare,” Lieutenant General Phillip D. Shutler, USMC (Ret.), used the 1942 South Pacific campaign to highlight the three strategic pathways (primarily air, sea, and undersea) that U.S. forces had to successfully transit during World War II before they could project combat power overseas. Although he labeled the strategic pathways regimes instead of domains, the underlying concept remains the same.
Shutler observed that once enemy airfield construction on Guadalcanal was completed, Japanese land-based aircraft were capable of attacking U.S. planes stationed 500 miles to the southeast on Espiritu Santo—threatening the supply lines connecting the United States with Australia and New Zealand. Accordingly, the Marines were ordered to seize the airfield on Guadalcanal to deny its use to the Japanese. In other words, U.S. land forces, in effect, were directed to create an antiair warfare shield at Guadalcanal to protect Espiritu Santo. But as the operational campaign progressed, the Marines’ (and later the Army’s) mission shifted from antiair warfare to enabling U.S. land-based aircraft to support subsequent island-hopping battles to the north and the eventual reduction of the Japanese strongpoint on Rabaul.
Initial success, however, required the United States to prevent Japanese ground forces from reinforcing Guadalcanal. A successful landing would have turned the battle into yet another symmetrical and protracted, single-domain, attritional fight between opposing land forces—both of whom sought to control the airfield. As Shutler noted, accomplishing this required U.S. submarines, surface ships, and naval aviation to establish maritime and aviation “shields” (that is, anti-submarine, anti-surface, antiair defenses) that the Japanese had to penetrate before their ground reinforcements could reach Guadalcanal.24
During the critical phases of the campaign, Japanese forces were unable to effectively penetrate the “multidomain” defensive shields, and the Marines were able to preserve their tactical overmatch ashore on Guadalcanal (approximately 11,000 Marines against 2,000 entrenched Japanese, many of whom were civilian laborers). The tipping point occurred on November 14, 1942, when U.S. naval forces attacked and sank seven Japanese troop transports that were carrying approximately 7,000 embarked Japanese troops trying to reinforce Guadalcanal.25 Although the Japanese did partially penetrate the U.S. shields during the campaign, they were unable to do so with sufficient combat power to alter the battle’s outcome.
Once U.S. air operations began at Guadalcanal’s Henderson Field, a multiplier effect occurred because the Japanese fleet was largely restricted to conducting night operations. This was due in part to additive U.S. airpower projected from ashore and concomitant flexibility gained from an untethered U.S. fleet that could inflict serious losses on Japanese shipping during daylight hours. This reduced Japanese flexibility and freedom of maneuver with implications well beyond the tactical area of operations and marked the start of the U.S. island-hopping campaign.
Like many similar operations in the Pacific theater, Guadalcanal had only marginal tactical utility as an island except for its value to the air domain. The airfield was the operational lynchpin that was denied to the enemy by adroit integration of multidomain activities on the land, sea, and in the air. This further enabled U.S. land-based airpower to support the drive from the Solomon Islands northward into the Central Pacific and eventually to the Japanese homeland.26
Falkland Islands. Almost 40 years after Guadalcanal, we can observe the same multiplier effect in a more modern campaign—the 1982 Battle of the Falklands—that revolved around a centuries-old territorial dispute between the United Kingdom and Argentina over the Falkland (Malvinas) Islands.27 Like the U.S. fleet in the Solomon’s Campaign, the United Kingdom established maritime and antiair shields around the Falklands in order to isolate the objective area, protect Royal Navy/Marines amphibious operations, and deny Buenos Aires the ability to reinforce its forces.
Multidomain actions in the Falklands campaign were numerous, and the multiplier effects these actions had on the campaign’s outcome were significant. The sinking of the 13,500-ton Argentine cruiser General Belgrano (armed with 15 6-inch guns and 8 5-inch guns) by three conventional torpedoes fired from the British nuclear submarine Conqueror took the lives of 323 Argentine sailors (slightly more than half of their total casualties suffered during the war). But more importantly, this action had a cross-domain effect that forced the Argentine surface navy to remain inside its territorial waters for the duration of the campaign.28Additionally, the sinking of the Belgranodramatically relieved naval surface pressure on Great Britain’s fleet operating in the Falkland littorals, which in turn allowed Royal Navy vessels on picket duty more time to visually detect Argentine aircraft being launched from the mainland and alert the British Task Force.29
The multiplier effect continued when British special operations forces, supported by naval gunfire, conducted an amphibious raid on Pebble Island to further reduce the Argentine air threat. The raid destroyed 11 forward-based Argentine aircraft. While Argentine helicopters and light aircraft were subsequently dispersed around the islands, the raid forced Argentina to withdraw most of its high-performance aircraft 400 miles back to the mainland.30 Thus, Argentine aircraft were required to fight at their maximum operating radius, which greatly reduced their time on station (Argentina had only limited aerial refueling capability). This was a major advantage for Great Britain’s amphibious fleet and embarked ground forces, who were worried they would not have air superiority during the amphibious landing.
Dismissing the Falklands as nothing more than a creative use of limited assets under extreme conditions risks overlooking key multidomain insights that contributed to operational success. If the notion of achieving dominance in one or more warfighting domains is a thing of the past, then learning to leverage a broader but perhaps relatively less robust toolkit is necessary. To modify a quotation often attributed to Winston Churchill, “Gentlemen we are out of overwhelming resources; Now we must think.”31
It might be easy to dismiss military case studies of the previous century as irrelevant to the challenges faced when looking forward into the current one. But it is worth considering how these multiple domains were integrated in the first place. The process (including technical, conceptual, and instructional efforts) of integrating new-fangled flying machines into the traditional warfighting domains of the land and sea began decades before a mature concept. It was not a straight line or a preordained outcome. The associated technologies and tactical concepts were leavened by decades of peacetime “experimentation” and wartime adaptation. The resulting capabilities for presenting an adversary with multiple, simultaneous dilemmas across domains changed the way the United States fights at both the tactical and operational levels of war.
Developing Evidence
The second source of evidence with which to examine the viability of the MDB concept is to look at it from operational perspectives and across a range of contexts. To do this, DOD should subject the MDB concept and its supporting tenets to a rigorous campaign of joint experimentation—even as the specific capabilities are still being developed. Joint experimentation in this context is an inclusive phrase meant to indicate the exploration of ideas, assumptions, and crucial elements of nascent MDB capabilities. To be clear, joint experimentation covers a wide range of activities (from structured seminars, virtual and constructive environments, to field events) and should be seen as complementary or undertaken in parallel with the development of specific capabilities or tactical employment concepts.
We employ the term campaign in association with joint experimentation to indicate that no single event can generate the quality or variety of necessary data. Moreover, only an experimentation campaign utilizing iterative activities with learning feedback loops (including workshops, wargames, constructive and virtual simulation, and live field events) can generate sufficient evidence to genuinely assess what it will take to realize, adapt, or abandon the MDB idea.
In terms of military experimentation, no single method has ever worked. The complex nature of military problems, and especially ones with interactions across five domains, argues for diverse forms of “discovery experimentation” to introduce novel systems, concepts, organizational structures, and technologies into settings where their use can be observed and Red Teamed.32 The results of such a comprehensive assessment will help identify MDB similarities and differences between the theaters, and will inform future doctrine, organization, training, materiel, leadership and education, personnel, facilities, and policy initiatives that must be addressed before MDB can become a deployable set of capabilities.
One of the most complex challenges in debates about future joint concepts is not the concept per se; it is the nature of jointness as practiced in a post–U.S. Joint Forces Command (USJFCOM) environment. Without digressing too far into the history of USJFCOM’s role in joint concept development and experimentation, it is worth contrasting the contexts. Formed in 1999, USJFCOM developed a generally top-down approach to joint concept development and experimentation. While this approach had some advantages, it often resulted in excessively large experiments, with the Services playing a limited or marginally productive role. When USJFCOM was disestablished in 2011, joint concept development reverted to the Joint Staff J7, whose time and resources for experimentation was more limited.33 More recently, Service or multi-Service–led efforts to develop and experiment with new joint concepts are increasing. This can be seen as a bottom-up, collaborative effort. While this approach has many practical advantages over the top-down approach, it is not without challenges—a key one being that the longer joint stakeholders (that is, combatant commands and prospective joint force commanders) remain spectators to the Service-dominated joint experimentation process, the less likely MDB’s theater-wide and strategic-level implications will be subjected to a full examination by the customer.
Under Joint Staff policy for concept development, experimentation begins after concept development. This may be adequate for narrow concepts or mission/domain capabilities where one Service has the lead. But this approach seems ill-suited for complex and multifaceted warfighting concepts such as MDB. As the two case studies indicate, cross-domain overmatch and multiplier effects are often discovered and subsequently leveraged in the course of operations. Early discovery experimentation with some level of joint analysis and sponsorship is essential. Not only will such early experiments increase the capacity to do joint experimentation, but they can also help co-develop Service concepts within a joint context.
As noted at the outset of this article, the MDB debate at this stage is a useful set of thought experiments, but it is not producing tangible evidence. Such evidence would shift the debate from a primarily subjective one to a more balanced and objective conversation. However, the recent history of joint concept development and the very nature of institutional jointness as practiced in DOD are not encouraging. According to the Joint Staff, joint concepts are assessed “using various analytical methods; the joint concept community evaluates both developing and approved concepts to determine whether they are feasible and promote informed decisions on developing new joint capabilities.”34
One potentially more lucrative approach would be to embark on a series of parallel joint discovery experiments designed to identify the specific characteristics, demands, and challenges associated with assessing the feasibility of MDB transcending theater-specific applications to serve as a more universal warfighting concept. Such a joint discovery experiment has historically been at the heart of military experimentation.35
The objective of discovery experiments is to learn, so it is useful to begin with a set of well-defined conceptual and operational conditions. One does not seek a well-defined “concept,” rather a statement of the military problem and a clear understanding of the initial military context. The discovery experimentation approach, supported by an initial data collection plan, is designed to tinker with the variables, modify the conditions, and challenge the assumptions and constraints in a way that dynamically helps refine a nascent concept and identify the kinds of capabilities worth considering. This notion of progressive learning through experimentation generates feedback that enables concept framing, definition, and refinement to occur dynamically.
The ability to use experimentation to explore the utility of emerging technologies and concepts is a force multiplier. Technology cannot be optimized until its impact on warfighting concepts and doctrine is fully appreciated. According to the National Academy of Sciences in a study done for the Navy:
By simulating future systems, [military commanders] can also learn how those systems will work in simulated combat environments and how to use forces equipped with such proposed systems. By such means they can explore new ideas and concepts for the use of variously composed and equipped forces against diverse anticipated threats, and they can learn how to integrate such forces on a large scale in the joint and combined force environment.36
One major challenge in calling for more joint experimentation is the large gap between the operating environment envisioned in the MDB concept and the availability of validated models and simulations. Earlier efforts to support joint analyses (both constructive and human-in-the-loop) with custom designed joint models “amounted to a costly failure with little or no resulting joint analysis capability gain for the Department.”37 Nevertheless, progress in MDB will require some capability to integrate space, cyber, and electromagnetic effects into models designed to explore the interaction of new capabilities and human decisionmaking. Any effort to explore MDB in a joint context must include an effort to integrate existing Service modeling and simulation tools (in the same bottom-up approach discussed here). This will help the Services to operate across new domains in support of specific joint priorities instead of attempting to create a standalone, top-down modeling and simulation solution.
Discovery experimentation is not a free-for-all, but a deliberately crafted and planned approach for addressing an issue long before it becomes a pressing problem. It allows operators to interact with new or potential concepts and capabilities to explore their military utility—something that is not often supported through traditional studies or hypothesis-based experiments. It requires careful attention to the specification and collection of data that will provide solid evidence for the conclusions reached by conducting experiments. If all these constraints are observed, discovery experimentation could be a valuable tool and a useful “way of weeding out ideas that simply do not work, forcing the community to ask rigorous questions about the benefits being sought and the dynamics involved in implementing the idea, or specifying the limiting conditions.”38
It is time to subject the MDB concept to discovery experimentation. To modify slightly Sir Michael Howard’s admonition about future doctrine, it is the “task of military science in the age of peace to prevent new capabilities from being too badly wrong” when the next war starts.39
Dr. Kevin M. Woods is Deputy Director of the Joint Advanced Warfighting Division at the Institute for Defense Analyses (IDA). Colonel Thomas C. Greenwood, USMC (Ret.), is a Researcher at IDA.
Notes
1.John F. Schmitt, A Practical Guide for Developing and Writing Military Concepts, Defense Adaptive Red Team Working Paper #02-4 (McLean, VA: Hicks & Associates, December 2002), 4, available at <www.au.af.mil/au/awc/awcgate/writing/dart_paper_writing_mil_concepts.pdf>.
2. An experiment campaign consists of “a set of experiments, complementary analyses, and synthesis activities . . . conceived, orchestrated, and harvested” in order to better understand the complex issues associated with a warfighting concept. See David S. Alberts and Richard E. Hayes, Campaigns of Experimentation: Pathways to Transformation (Washington, DC: Department of Defense, 2005), 4.
3. Amos C. Fox, “Multi-Domain Battle: A Perspective on the Salient Features of an Emerging Operational Doctrine,” Small Wars Journal, May 21, 2017.
4. Senate Armed Services Committee, Statement of Admiral Harry B. Harris, Jr., USN, Commander, U.S. Pacific Command, on U.S. Pacific Command Posture, April 27, 2017, 19.
5. Robert B. Brown, “The Indo-Asia Pacific and the Multi-Domain Battle Concept,” March 20, 2017, available at <www.army.mil/article/184551/the_indo_asia_ pacific_and_the_multi_domain_battle_concept>.
6. For example, see Joint Staff–issued concept papers Capstone Concept for Joint Operations (CCJO) (Washington, DC: The Joint Staff, 2012), Joint Operational Access Concept (Washington, DC: The Joint Staff, 2012), and Joint Concept for Rapid Aggregation(Washington, DC: The Joint Staff, 2015).
7.Richard Hart Sinnreich, “Multi-Domain Battle: Old Wine in a New Bottle,” The Lawton Constitution, October 30, 2016.
8. Brown.
9. Erik Heftye, “Multi-Domain Confusion: All Domains Are Not Created Equal,” Real Clear Defense, May 26, 2017, available at <www.realcleardefense.com/articles/2017/05/26/multi-domain_confusion_all_domains_are_not_created_equal_111463.html>. For an early related argument, see Martin C. Libicki, “Cyberspace Is Not a Warfighting Domain,” I/S: A Journal of Law and Policy for the Information Society 8, no. 2 (2012).
10. Mike Pietrucha, “No End in Sight to the Army’s Dependence on Airpower,” War on the Rocks, December 13, 2016, available at <https://warontherocks.com/2016/12/no-end-in-sight-to-the-armys-dependence-on-airpower/>.
11.A.J. Shattuck, “The Pipe Dream of (Effective) Multi-Domain Battle,” Modern War Institute at West Point, March 28, 2017, available at <https://mwi.usma.edu/pipe-dream-effective-multi-domain-battle/>.
12. Mike Benitez, “Multi-Domain Battle: Does It End the Never-Ending Quest for Joint Readiness?” Over the Horizon, May 2, 2017, available at <https://overthehorizonmdos.com/2017/05/02/mdb-joint-readiness/>.
13.See James Stavridis and David Weinstein, “Time for a U.S. Cyber Force,” U.S. Naval Institute Proceedings 140, no. 1 (January 2014). The House Armed Services Committee mark of the 2018 National Defense Authorization Act calls for the creation of a separate Space Corps.
14.Michael C. Davies, “Multi-domain Battle and the Masks of War,” Small Wars Journal, May 11, 2017, available at <http://smallwarsjournal.com/blog/multi-domain-battle-and-the-masks-of-war-why-it’s-time-to-eliminate-the-independent-services>.
15. Sydney J. Freedberg, Jr., “Army Must Be Ready for Multi-Domain Battle in Pacific ‘Tomorrow,’” Breaking Defense, January 31, 2017, available at <https://breakingdefense.com/2017/01/army-must-ready-for-multi-domain-battle-in-pacific-tomorrow/>.
16. Megan Eckstein, “Army Set to Sink Ship in 2018 as PACOM Operationalizes Multi-Domain Battle Concept,” USNI News, May 30, 2017. The Army had a standing mission to “sink ships” in the form of the Coast Artillery Corps from 1901 to 1950.
17. Benitez.
18. Sydney J. Freedberg, Jr., “Army’s Multi-Domain Battle Gains Traction Across Services: The Face of Future War,” Breaking Defense, March 13, 2017, available at <https://breakingdefense.com/2017/03/armys-multi-domain-battle-gains-traction-across-services/>.
19. David G. Perkins, “Multi-Domain Battle: Joint Combined Arms Concept for the 21st Century,” Association of the United States Army, November 2016, available at <www.ausa.org/articles/multi-domain-battle-joint-combined-arms-concept-21st-century>. The notion of extended battle dates to General Don Starry and the development of the AirLand Battle Concept in the early 1980s. See Don Starry, “Extending the Battlefield,” Military Review 61, no. 3 (March 1981), 31–50.
20. J.P. Clark, “In Defense of a Big Idea for Joint Warfighting” War on the Rocks, December 22, 2016, available at <https://warontherocks.com/2016/12/in-defense-of-a-big-idea-for-joint-warfighting/>. Kevin Benson, “Extending the Second Offset and Multi-Domain Battle,” Real Clear Defense, November 29, 2016, available at <www.realcleardefense.com/articles/2016/11/30/extending_the_second_offset _and_multi-domain_battle_110411.html>.
21. U.S. Army–Marine Corps White Paper, “Multi-Doman Battle: Evolution of Combined Arms for the 21st Century,” September 30, 2017, available at <www.tradoc.army.mil/multidomainbattle/docs/DRAFT_MDBconcept.pdf>. The Air Force is developing a related Multi-Domain Operations concept that combines Air Force theater contributions into a unified air-space-cyberspace capability set in support of the joint force. See “Multi-Domain Command and Control: The Air Force Perspective with Brigadier General B. Chance Saltzman” (Part 1 of 2), Over the Horizon, April 3, 2017, available at <https://overthehorizonmdos.com/2017/04/03/multi-domain-command-and-control-the-air-force-perspective-with-brigadier-general-b-chance-saltzman-part-1-of-2/>. Saltzman makes the distinction with traditional combined arms by arguing, “[combined arms] is using the assets you have, in some cases from different functions or different domains. Whether it’s artillery, armor, infantry, aviation, those are the traditional arms we’re talking because a lot of times we talk about combined arms in terms of the Army sense of things.”
22.Overmatch is defined as “the application of capabilities or unique tactics either directly or indirectly, with the intent to prevent or mitigate opposing forces from using their current or projected equipment or tactics.” See U.S. Army–Marine Corps White Paper, 13, 17, 55, 61, 73.
23. In the context of a specific campaign, all domains are not of equal value. Even opponents in the same battle may, for a host of reasons, not share the same view of a domain’s value.
24. Phillip D. Shutler, “Thinking About Warfare,” Marine Corps Gazette, November 1987, 20, 23–25.
25. J.J. Edson, “The Asymmetrical Ace,” Marine Corps Gazette, April 1988, 51.
26. Guadalcanal was a pivotal battle in the larger Solomon’s campaign but a closely contested fight to the bitter end. The United States suffered a terrible naval defeat in the Battle of Savo Island, August 8–9, 1942, which reduced Allied heavy cruiser strength in the Pacific by more than 33 percent and compelled Navy transport and supply ships to depart the objective area prematurely. Command relationships between senior Marine Corps and Navy commanders were also overly complex, which led to unnecessary friction. For a more detailed account, see Jeter A. Isley and Philip A. Crowl, The U.S. Marines and Amphibious War: Its Theory and Its Practice in the Pacific (Princeton: Princeton University Press, 1951), 130, 153–162.
27. The proximate cause, however, was a textbook case of two serious and mutually reinforcing misjudgments. These misjudgments, as one scholar put it, stemmed from “the belief in London that Argentina would not invade the Falkland Islands and the expectation in Buenos Aires that Britain would accommodate itself to a military takeover of the islands.” See Richard Ned Nebow, “Miscalculation in the South Atlantic: The Origins of the Falkland War,” Journal of Strategic Studies 6, no. 1 (1983), 5.
28. Sandy Woodward, One Hundred Days: The Memoirs of the Falklands Battle Group Commander (Annapolis, MD: U.S. Naval Institute Press, 1992), 246.
29. In an effort to isolate the islands and limit the scope of the campaign, Great Britain declared a 200-mile radius Total Exclusion Zone around the Falkland Islands. This declaration had the tacit effect of making the Argentinian home waters a bastion for the Argentine navy.
30. Sir Lawrence Freedman, The Official History of the Falklands, Volume II: War and Diplomacy (New York: Routledge, 2005), 431. Freedman wrote, “This was a remarkably successful raid, depriving the garrison of a number of aircraft and undermining morale, by demonstrating the capacity of special forces to mount operations on the Islands against units that were detached from the main forces.” That said, Argentine aircraft remaining in the Falklands after the raid were assessed to be three Shyvan light transports, two navy Tracker early warning aircraft, nine Pucara counterinsurgency aircraft, four Chinooks, three Puma, and one Agusta 109. Although none of these aircraft threatened the overall outcome of the campaign, they remained a major concern throughout it.
31. The most common original Churchill version is “Gentlemen, we have run out of money: Now we must think.” Some evidence suggests Churchill borrowed the phrase from famed physicist Sir Ernest Rutherford.
32. The other two major types of experiments are hypothesis tests and demonstrations. Both could play a role in narrow aspects of the campaign but could not serve as a description of the overall experimentation effort.
33. Joint operating concepts (JOCs) “broadly describe how the joint force may execute military operations within a specific mission area in accordance with defense strategic guidance and the CCJO. Collectively, JOCs describe joint capabilities required to operate across the range of military operations and encourage further examination through wargaming, joint training, and a variety of studies, experimentation, and analyses.” See Chairman of the Joint Chiefs of Staff Instruction 3010.02E, Guidance for Developing and Implementing Joint Concepts (Washington, DC: The Joint Staff, August 17, 2016), A-10.
34.Ibid., A-1.
35. Examples include the Navy’s Fleet Problem series in the 1920s and 1930s that in.tegrated fledgling naval airpower into fleet operations, Brigadier General Billy Mitchell’s Project B experiments on the use of airpower against shipping, or the Marine Corps’ Fleet Landing Exercises in the 1930s leading to the validation of Major Earl Hancock “Pete” Ellis’s amphibious concepts. See Williamson Murray, Experimentation in the Period Between the Two World Wars: Lessons for the Twenty-First Century (Alexandria, VA: Institute for Defense Analyses, November 2000).
36.National Research Council, The Role of Experimentation in Building Future Naval Forces (Washington, DC: National Academies Press, 2004), available at <www.nap.edu/catalog/11125/the-role-of-experimentation-in-building-future-naval-forces>.
37. The failure of the Joint Warfare System, Joint Simulation System, and Joint Modeling and Simulation System programs stemmed from not only the efforts’ complex and high-risk technical natures but also some of the same integration and development issues that challenge the development of joint capabilities. For a summary of the issues and lessons, see Robert Lutz et al., Factors Influencing Modeling and Simulation to Inform OSD Acquisition Decisions (Alexandria, VA: Institute for Defense Analyses and Johns Hopkins University, April 2017).
38. The authors are indebted to our colleague Dr. Sue Numrich for input on discovery experimentation. See also David S. Alberts, ed., Code of Best Practice: Experimentation (Washington, DC: Department of Defense, July 2002), 21.
39. Michael Howard, “Military Science in an Age of Peace,” RUSI Journal 119, no. 1 (1974), 2.
Featured Image: Reconnaissance Marines with the 24th Marine Expeditionary Unit’s Maritime Raid Force, sourced from Force Reconnaissance Company, 2nd Reconnaissance Battalion, and embarked on the amphibious assault ship USS Iwo Jima (LHD 7), jump from a CH-53E Super Stallion during helocast training in the Gulf of Aden, May 28, 2015. The Super Stallion belongs to Marine Medium Tiltrotor Squadron 365 (Reinforced), 24th MEU. The 24th MEU is embarked on the Iwo Jima Amphibious Ready Group and deployed to maintain regional security in the U.S. 5th Fleet area of operations. (U.S. Marine Corps photo by Cpl. Joey Mendez/Released)
Last week CIMSEC published a series of articles focusing on the seabed as an emerging domain of maritime conflict and competition. This topic week was launched in partnership with the U.S. Naval War College’s Institute for Future Warfare Studies who drafted the Call for Articles. Authors assessed the legal frameworks related to seabed operations, the operational flexibility that can be exercised through this domain, the challenges of protecting critical seabed infrastructure, and more. Below is a list of articles that featured during the topic week and we thank the authors for their excellent contributions.
“…the United States will have to determine how it will shape its own law-based national security strategy considering America’s failure to ratify UNCLOS. At the operational level, seabed UUVs will likely lead to an arms race given all of the discrete tactical opportunities they offer. In an inversion of land warfare, control of the low ground will grant victory on the high seas.”
“One such operation experiencing a kind of renaissance is mine warfare which, when combined with unmanned technologies and key infrastructure based on the ocean floor, transforms into the more potent strategic tool of seabed warfare. But even the concept of seabed warfare is itself in transition, and is on track to be fully subsumed by the broader paradigm of autonomous undersea warfare.”
“A Seabed Command would focus entirely on seabed warfare. It could unite many of the currently disparate functions found within the surface, EOD, aviation, and oceanographic communities. Its purview would include underwater surveying and bathymetric mapping, search and recovery, placing and finding mines, testing and operating unmanned submersibles, and developing future technologies that will place the U.S. on the forefront of future seabed battlegrounds.”
“Deep below the waters, travelling at millions of miles per hour, flickers of light relay incredible quantities of information across the world, powering the exchange of data that forms the internet. From urgent stock market transactions to endless videos of cats, undersea cables support many aspects of twenty first century life that we take for granted. A moment’s thought is sufficient to appreciate the strategic importance of this fact. As a result, any discussion of future seabed warfare would be incomplete without a consideration of the challenges presented by ensuring the security of this vital infrastructure.”
Dmitry Filipoff is CIMSEC’s Director of Online Content. Contact him at [email protected].
Featured Image: Project Baseline’s Nemo submersible shines its lights on U-boat U-576, sunk on July 15, 1942, lying on its starboard side and showing the submarine’s conning tower and the deck gun in the foreground. (Image courtesy of John McCord, UNC Coastal Studies Institute – Battle of the Atlantic expedition.)
For centuries, the sea has enabled trade between nations. Shipping continues to underpin international commerce today. But there is another unseen contribution that the oceans make to the current global order. Deep below the waters, travelling at millions of miles per hour, flickers of light relay incredible quantities of information across the world, powering the exchange of data that forms the internet. From urgent stock market transactions to endless videos of cats, undersea cables support many aspects of twenty first century life that we take for granted. A moment’s thought is sufficient to appreciate the strategic importance of this fact. As a result, any discussion of future seabed warfare would be incomplete without a consideration of the challenges presented by ensuring the security of this vital infrastructure.
Strategists have neglected submarine cables. Whilst topics such as piracy and cyber attacks on ports frequently arise in discussions on maritime threats, cables have not always been as prominent. Some authors have identified the potential risks (such as this 2009 report for the UN Environment World Conservation Monitoring Centre), but these works have not always received the attention they deserve.
There are signs that this is changing. A recent report for the Policy Exchange by Rishi Sunak, a member of the UK Parliament, gained significant media coverage. It was not ignored by senior military figures. A few weeks later, the United Kingdom Chief of Defence Staff, Air Chief Marshall Sir Stuart Peach, gave a speech to RUSI, where he said “there is a new risk to our way of life that is the vulnerability of the cables that crisscross the seabed.” The same month, Mark Sedwill, the UK National Security Advisor, gave evidence that “you can achieve the same effect as used to be achieved in, say, World War Two by bombing the London docks or taking out a power station by going after the physical infrastructure of cyberspace in the form of internet undersea cables.”
This is a present threat, not just a hypothetical one. In late 2017, the NATO Submarine Commander Rear Admiral Lennon of the United States Navy revealed “We are now seeing Russian underwater activity in the vicinity of undersea cables that I don’t believe we have ever seen. Russia is clearly taking an interest in NATO and NATO nations’ undersea infrastructure.” The challenge is to maintain this focus and turn a passing spotlight into seriously considered policy.
Understanding Submarine Cables
Vast technical expertise is not necessary to understand why submarine cables are so important. A basic awareness of their construction and use is sufficient. The internet is, at its most basic level, a transfer of information. With the advent of cloud computing, the simple act of storing a file means that data travels from a user on one continent to a server halfway around the world. Although popular imagination sees this happening by satellite relay, in over ninety five percent of cases the physical means for moving this information is a series of light pulses, travelling along a fiber optic cable laid over land and under the sea. These cables are thin silica tubes embedded in a protective cladding, approximately the size of a garden hosepipe. The capacity of these cables to transmit data is ever-increasing. Recent experimental cables have been reported as being capable of transmitting up to one petabyte of data per second. To add some perspective, a petabyte of storage would allow you to store enough music that you could play it continuously for two thousand years.
Submarine cables are mainly private assets. Although expensive (an intercontinental cable is cited as costing between $100 million to $500 million), they are significantly cheaper than the satellite alternatives. In addition to the ownership by telecommunications companies, internet companies, including Facebook and Google, now heavily invest in submarine cables. These cables are laid by specialized ships, capable of carrying up to 2000km of cable, which can be laid at a rate of up to 200km per day. In offshore areas, the cable is laid directly onto the seabed. On the continental shelf, a plough is used to bury the cables and provide some protection from accidental damage, usually caused by anchors.
Attacks on Submarine Cables
These cables are vulnerable to deliberate attack in many ways. The most basic method of attack is simply to break the cable. Their construction means that this task presents little difficulty either mechanically or through the use of small explosive charges. Finding these cables is equally simple. The location of the cables is widely promulgated in order to prevent accidental damage but there is little to stop adversaries from exploiting this information for nefarious ends. Whilst there are a network of repair ships around the world, it is obvious that any service denial cannot be instantly fixed. Multiple attacks, particularly on alternative cable routes, would quickly exacerbate problems and could be organized relatively easily. As the Policy Exchange report highlighted, there is no need to actually proceed to sea to attack the cable network. The landing stations, locations where the submarine cables come ashore, are both well-known and lightly protected. This is a potent combination, particularly when cables are located in fragile states and presents additional challenges when assessing the security of the network.
Cables can also be attacked in non-physical ways. Although shrouded in classification, intelligence analysts have openly stated in national newspapers that the U.S. submarine, USS Jimmy Carter, may have the capability to “tap” undersea cables and obtain the data being transferred without breaching the cable. There are concerns that the Russian Yantar vessels share similar capabilities and these are explored in depth in a recent post by Garrett Hinck. Military planners must understand that defending the submarine cable network might not mean simply preventing physical attack but also ensuring the integrity of the data being transmitted.
Legal Protections
Legally, the status of undersea cables have little protection, particularly when they are outside the jurisdiction of any state and lie on the seabed of the high seas. This is certainly the conclusion of the two major legal studies that have addressed the problem. Professor Heintschel von Heinegg considered submarine cyber infrastructure in a chapter of a NATO Cooperative Cyber Defence Centre of Excellence publication in 2013 and concluded that “the current legal regime has gaps and loopholes and that it no longer adequately protects submarine cables.” Similarly in 2015, Tara Davenport of Yale Law School examined the same topic and stated “the present legal regime is deficient in ensuring the security of cables.” The peacetime protection of submarine cables is a grey area in the law and this provides an additional challenge when assessing how cables should be protected.
The legal status of submarine cables in times of war is equally unclear as observed recently in a post for the Cambridge International Law Journal and another post on Lawfare. There is no authoritative work examining the status of submarine cables in armed conflicts, but even a brief overview is sufficient to highlight the problem. The first question is whether an attack on a submarine cable (outside of a state’s jurisdiction) qualifies as an “armed attack” for the purposes of article 51 of the UN Charter, permitting the use of force by a state in self-defense. The Tallinn Manual on the Law Applicable to Cyber Operations takes the position that the effects of a cyber operation must be analogous to those resulting from a “standard” kinetic armed attack. Simultaneously, it acknowledges that the law is unclear as to when a cyber operation qualifies as an armed attack. Would the consequences of a submarine cable breach be sufficiently serious to raise it to the level of an armed attack? It is difficult to provide a definitive answer but if the answer is ‘no’, then states would not be entitled to use military force to defend submarine cables in the absence of an existing armed conflict. With regard to illicit surveillance of cables, the Tallinn Manual clearly concludes that intelligence gathering from submarine cables would not amount to an armed attack.
The ability of States to target submarine cables during times of war is also open to discussion. Objects may be targeted under international humanitarian lawif they make an effective contribution to military action due to their nature, location, purpose, or use and if their total or partial destruction, capture or neutralization offers a definite military advantage. The best example of the extent of military reliance on civilian owned and operated undersea cables is contained in a 2010 Belfer Center paper. This records that three of the largest cables between Italy and Egypt were severed in late 2008. As a result, U.S. UAV operations in Iraq were significantly reduced. Submarine cables simultaneously transmit critical military and civilian data. Whilst the presence of the former means that they may be targeted, this is always subject to the principles of proportionality and precautions in attack, designed to minimize the harm to the civilian population. Due to the range of data carried by cables and the number of services that are likely to be affected, these assessments may be very difficult to carry out. An understanding of when cables can be targeted is likely to be highly fact sensitive and it is entirely possible that states will take different views on when this is permissible.
Strategies for the Undersea Cable Problem
Clearly, a protection strategy for undersea cables cannot depend solely on military action. It is impossible to protect the entire cable network given its global expanse. The geographic area requiring protection is simply too large, even for the most powerful of navies. The natural consequence of this conclusion is to focus on identifying and intercepting ships and submarines capable of interfering with the cable network. However, the practicalities of this option are not promising. The technology required to tamper with cables is not overly sophisticated. It can be hosted in a wide range of vessels and easily transferred between them. Submarines present additional challenges in monitoring, tracking and interception, requiring the use of satellites, intelligence, and underwater sensors. For a military commander, the task of protecting seabed submarine cables from attack can seem almost impossible.
Given this conclusion, national strategies may need to focus on alternative methods of safeguarding the exchange of information. One method would be to increase the level of redundancy within the system by laying additional cables. As cables are expensive and most cables are privately owned, additional routes have to be assured of sufficient funding to make them viable. Somewhat ominously, the International Cable Protection Committee (which represents cable owners) states that “most cable owners feel that there is enough diversity in the international submarine cable network.” This might be true if the only threat is from accidental damage. However, this analysis might change with the realistic prospect of deliberate targeting.
The ideal solution would be the existence of a globally accepted international treaty giving protection to submarine cables by prohibiting interference and clarifying the status and protections of cables. It is a solution advocated by a number of the sources previously cited. Given the shared interests of many, if not all states, in securing the submarine cable network, this may not be unattainable. Regulation of these cables outside the territories of states would not involve any restriction on national territorial sovereignty, increasing the chance of multilateral agreement. Unfortunately this opportunity has not been seized by a distracted international community.
Conclusion
Arguably the most important strategic asset on the seabed is the submarine cable network. They present a unique vulnerability that is challenging to protect and subject to an uncertain legal regime. Any analysis of seabed warfare must concern itself with cable protection. The best way to achieve this is the adoption and acceptance of a treaty regime that acknowledges their importance to the modern world. Until this is achieved, military commanders must factor the exceptional challenges of defending these cables into their plans for seabed warfare.
Lieutenant Commander Peter Barker is a serving Royal Navy officer and barrister. He is currently the Associate Director for the Law of Coalition Warfare at the Stockton Center for the Study of International Law (@StocktonCenter), part of the U.S. Naval War College. He can be contacted at [email protected].
This post is written in a personal capacity and the views expressed are the author’s own and do not necessarily represent those of the UK Ministry of Defence or the UK government.
Featured Image: The submersible Alvin investigates the Cayman Trough, a transform boundary on the floor of the western Caribbean Sea. (Emory Kristof, National Geographic)