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  • About
  • The Global ETD Search service is a free service for researchers to find electronic theses and dissertations. This service is provided by the Networked Digital Library of Theses and Dissertations.
    Our metadata is collected from universities around the world. If you manage a university/consortium/country archive and want to be added, details can be found on the NDLTD website.
1

The origins and development of Royal Australian Naval signals intelligence in an era of imperial defence 1914-1945

Straczek, Jozef, Humanities & Social Sciences, Australian Defence Force Academy, UNSW January 2008 (has links)
This thesis examines the origins and development of signals intelligence in the Royal Australian Navy, during the period 1914 to 1945, within the context of an Australian contribution to Imperial defence. In doing so it demonstrates how the development of this capability was shaped by national, Imperial and international forces and events. The thesis thus fills a gap in the historiography of imperial defence and of early twentieth century signals intelligence. It also constitutes a case study of the development of a niche military capability by a small to medium power in the context of great power alliances and major historical events. The thesis is based principally upon the investigation of documents in the Australian, US and UK national archives, some of which have been newly declassified for this purpose. During the First World War the RAN undertook a minor cryptographic effort focused on intercepting and breaking coded messages from the German Pacific Squadron. After the War, and at the request of the RN, the RAN began to develop a signals intelligence capability aimed at the Imperial Japanese Navy. This capability was seen as part of the RAN contribution to Imperial defence. The commitment, made without Australian political approval, would see the RAN conduct two covert intelligence collection operations against the Japanese Mandated Territories. After the Japanese attack on Pearl Harbor and subsequent defeat of the Western Powers in Asia, the RAN signals intelligence organisation became, as a consequence of agreements between Britain and the USN, part of the USN organisation in the Pacific. At no stage however, was the RAN involved in the discussions which accompanied these arrangements nor did it have any subsequent say in the strategic direction of this capability. As a consequence, when the Pacific War was drawing to a close the future of the RAN's cryptographic organisation came in to question. By the time the Japanese surrendered this issue had still not been resolved. Beyond the history of the origins and development of signals intelligence in the RAN, and of its involvement in the signals intelligence war against Japan, the thesis highlights the importance of committed individuals in small military organisations and how they can greatly influence the success or otherwise of these organisations. The ability of personnel from different nations to work together in signals intelligence is reflective of the functioning of the alliance as a whole. The development of such a niche capability by a small to medium power can have an effect on that nation's standing, in the context of alliance relationships, as it did in this case. As the RAN found however, such capabilities do not provide for automatic access to strategic decision making within an alliance.
2

Signalspaning i Sverige och USA : En komparativ studie av skyddet för den personliga integriteten vid signalspaning i försvarsunderrättelseverksamhet / Signals intelligence in Sweden and the United States : A comparative analysis of the protection of personal integrity in the collection of electronic communications for foreign intelligence purposes

Wiklund, Marlene January 2020 (has links)
The need to collect electronic communications for foreign intelligence purposes has increased in the past two decades, primarily due to the increase of international threats such as terrorism and proliferation of weapons of mass destruction. Meanwhile, digitalization and technical innovation have given rise to new possibilities for government surveillance and expanded the scope of the types of communications that may be collected. This gives rise to issues concerning the balance between effective foreign intelligence activities and the protection of personal integrity. This thesis performs a comparative analysis of the protection of personal integrity in signals intelligence in Sweden and the United States, by examining the protection of personal integrity under the Swedish Instrument of Government and Article 8 of the European Convention of Human Rights (European Convention) compared to the Fourth Amendment to the United States Constitution, and the requirements for signals intelligence under the Swedish Act (2008:717) on Signals Intelligence in Defense Intelligence Operations (the Surveillance Act) and § 702 of the Foreign Intelligence Surveillance Act (FISA, as amended). The analysis further includes a review of the safeguards adopted in each legal system to limit the collection of communications and to ensure that personal integrity is considered in signals intelligence operations. In regard to the protection of personal integrity, the analysis concludes that Swedish law, combined with the European Convention, offers a wider and more extensive protection for individuals when compared to the United States’ framework. However, all provisions include a requirement of proportionality or reasonableness intended to balance the need for effective law enforcement with the protection of personal integrity. The analysis further concludes that the Fourth Amendment has limited impact on signals intelligence carried out under § 702 FISA due to its limitations to the people of the United States, and that individuals' ability to exercise their rights is greater under the European Convention. The European Convention further offers protection beyond Sweden's borders, resulting in some protection for non-Swedish persons. As for the signals intelligence conducted under the Surveillance Act and § 702 FISA, several similarities and differences are identified. Both regulations limit the signals intelligence to be carried out for certain purposes. However, a notable difference is that, while signals intelligence under both the Surveillance Act and § 702 FISA are limited to foreign conditions, Swedish signals intelligence may be conducted on communications that cross Sweden’s borders. Meanwhile, collection under § 702 FISA may only target non-US persons outside of the United States. Despite this difference, signals intelligence under both regulations result in the collection of communications of the country’s own citizens. To limit the collection, both the Swedish National Defense Radio Establishment (Sw. Försvarets Radioanstalt, FRA) and the United States National Security Agency (NSA) apply certain safeguards. These include the use of search terms in Swedish signals intelligence and selectors in American signals intelligence. While they are both used to make relevant selections in the collection of communications, there are some notable difference between the two. For example, selectors consist of, inter alia, an email address or phone number, while search terms should not, as a general rule, target a specific individual. Further, there is no warrant requirement for collections under § 702 FISA compared to the Surveillance Act, which requires court approval. Lastly, in regard to the control and review of Swedish and American signals intelligence, the analysis concludes that such activities are conducted in different manners in both legal systems. This includes both internal and external controls. However, the Swedish control units appear to have greater opportunities to intervene by, for example, controlling the FRA's access to signal carriers and interrupting an ongoing collection if needed.
3

Unexpected consequences for the Swedish signals intelligence in the light of the European Court of Justice’s case law? : An analysis of the implications the joined cases La Quadrature du Net and others and the case Privacy International might have for the Swedish signals intelligence

von Hofsten, Jarl January 2022 (has links)
The Court of Justice of the European Union has in its case law been strict in its approach towards Member States’ legislative measures providing for retention of and access to data relating to electronic communications. In recent case law the Court has made clear that also such provisions with the object of safeguarding national security need to comply with EU law and the Court’s jurisprudence. This might mean that the Swedish cable-based signals intelligence is within the scope of EU law contrary to the previous conception. It is decisive for whether the Swedish signals intelligence is within the scope of EU law whether the requirement on the providers of electronic communications systems to transfer all signals crossing the Swedish border to collaboration points, in order for the signals intelligence to be carried out, is to be interpreted as a requirement on the providers to process personal data. If within the scope of EU law, a great majority of the Swedish signals intelligence could be disproportionate in the light of the Court’s case law and thus contrary to EU law. Since the signals intelligence is considered to be an indispensable tool to solve all tasks the Swedish foreign intelligence encompasses this could affect the capability of the foreign intelligence.
4

'Factum ex scientia': I Canadian Corps Intelligence during the Liri Valley Campaign, May – June 1944

Seefeldt, Connor 26 September 2012 (has links)
Studies on Canadian Army military intelligence remain sparse in Canadian military historiography. This study is unique in that it focuses on the development, doctrine, and influence of intelligence within the I Canadian Corps throughout the Liri Valley battles during the Italian Campaign. It will be argued that I Canadian Corps intelligence achieved notable overall success in helping to break the Hitler Line by providing comprehensive and relatively up-to-date information on enemy dispositions and strengths which helped commanders and staff planners properly prepare for the operation. This success was attributable to three main factors: excellent intelligence personnel selection and training; the successful mentorship of I Canadian Corps intelligence by Eighth Army's intelligence cadre; and the overall effectiveness of 1st Canadian Infantry Division's intelligence organization which had been in the Mediterranean theatre since July 1943. Notwithstanding these successes, a number of faults within the Canadian Corps intelligence system must also be explained, including the poor performance of 5th Canadian Armoured Division's intelligence organization during the pursuit up the Liri–Sacco Valleys, and the mediocre execution of Corps counter-battery and counter-mortar operations. This study will demonstrate how an effective intelligence organization must augment existing army doctrine and how it can mitigate, though not completely eliminate, battlefield uncertainty. Further, it will also demonstrate that a comprehensive lessons-learned process must be undertaken to continually refine existing intelligence doctrine and procedures, with frequent training programs inculcating personnel in this doctrine. Taken as a whole, this study is unique as it is one of only several studies devoted solely to developing a greater understanding of a little-understood, and often forgotten, staff function within the Canadian Army during the Second World War.
5

'Factum ex scientia': I Canadian Corps Intelligence during the Liri Valley Campaign, May – June 1944

Seefeldt, Connor 26 September 2012 (has links)
Studies on Canadian Army military intelligence remain sparse in Canadian military historiography. This study is unique in that it focuses on the development, doctrine, and influence of intelligence within the I Canadian Corps throughout the Liri Valley battles during the Italian Campaign. It will be argued that I Canadian Corps intelligence achieved notable overall success in helping to break the Hitler Line by providing comprehensive and relatively up-to-date information on enemy dispositions and strengths which helped commanders and staff planners properly prepare for the operation. This success was attributable to three main factors: excellent intelligence personnel selection and training; the successful mentorship of I Canadian Corps intelligence by Eighth Army's intelligence cadre; and the overall effectiveness of 1st Canadian Infantry Division's intelligence organization which had been in the Mediterranean theatre since July 1943. Notwithstanding these successes, a number of faults within the Canadian Corps intelligence system must also be explained, including the poor performance of 5th Canadian Armoured Division's intelligence organization during the pursuit up the Liri–Sacco Valleys, and the mediocre execution of Corps counter-battery and counter-mortar operations. This study will demonstrate how an effective intelligence organization must augment existing army doctrine and how it can mitigate, though not completely eliminate, battlefield uncertainty. Further, it will also demonstrate that a comprehensive lessons-learned process must be undertaken to continually refine existing intelligence doctrine and procedures, with frequent training programs inculcating personnel in this doctrine. Taken as a whole, this study is unique as it is one of only several studies devoted solely to developing a greater understanding of a little-understood, and often forgotten, staff function within the Canadian Army during the Second World War.
6

'Factum ex scientia': I Canadian Corps Intelligence during the Liri Valley Campaign, May – June 1944

Seefeldt, Connor January 2012 (has links)
Studies on Canadian Army military intelligence remain sparse in Canadian military historiography. This study is unique in that it focuses on the development, doctrine, and influence of intelligence within the I Canadian Corps throughout the Liri Valley battles during the Italian Campaign. It will be argued that I Canadian Corps intelligence achieved notable overall success in helping to break the Hitler Line by providing comprehensive and relatively up-to-date information on enemy dispositions and strengths which helped commanders and staff planners properly prepare for the operation. This success was attributable to three main factors: excellent intelligence personnel selection and training; the successful mentorship of I Canadian Corps intelligence by Eighth Army's intelligence cadre; and the overall effectiveness of 1st Canadian Infantry Division's intelligence organization which had been in the Mediterranean theatre since July 1943. Notwithstanding these successes, a number of faults within the Canadian Corps intelligence system must also be explained, including the poor performance of 5th Canadian Armoured Division's intelligence organization during the pursuit up the Liri–Sacco Valleys, and the mediocre execution of Corps counter-battery and counter-mortar operations. This study will demonstrate how an effective intelligence organization must augment existing army doctrine and how it can mitigate, though not completely eliminate, battlefield uncertainty. Further, it will also demonstrate that a comprehensive lessons-learned process must be undertaken to continually refine existing intelligence doctrine and procedures, with frequent training programs inculcating personnel in this doctrine. Taken as a whole, this study is unique as it is one of only several studies devoted solely to developing a greater understanding of a little-understood, and often forgotten, staff function within the Canadian Army during the Second World War.
7

On the Wings of the Wind: The United States Air Force Security Service and Its Impact on Signals Intelligence in the Cold War

Shackelford, Philip Clayton 16 May 2014 (has links)
No description available.

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