V-1 flying bomb


The V-1 flying bomb —also known to the Allies as the buzz bomb, or doodlebug, and in Germany as Kirschkern or Maikäfer, as well as by its official aircraft designation of Fi 103—was an early cruise missile and the only production aircraft to use a pulsejet for power.
The V-1 was the first of the so-called "Vengeance weapons" series deployed for the terror bombing of London. It was developed at Peenemünde Army Research Center in 1939 by the Nazi German Luftwaffe at the beginning of the Second World War, and during initial development was known by the codename "Cherry Stone". Because of its limited range, the thousands of V-1 missiles launched into England were fired from launch facilities along the French and Dutch coasts. The Wehrmacht first launched the V-1s against London on 13 June 1944, one week after the successful Allied landings in France. At peak, more than one hundred V-1s a day were fired at south-east England, 9,521 in total, decreasing in number as sites were overrun until October 1944, when the last V-1 site in range of Britain was overrun by Allied forces. After this, the Germans directed V-1s at the port of Antwerp and at other targets in Belgium, launching a further 2,448 V-1s. The attacks stopped only a month before the war in Europe ended, when the last launch site in the Low Countries was overrun on 29 March 1945.
As part of operations against the V-1, the British operated an arrangement of air defences, including anti-aircraft guns and fighter aircraft, to intercept the bombs before they reached their targets, while the launch sites and underground storage depots became targets for Allied attacks including strategic bombing.
In 1944 some tests of this weapon were conducted in Tornio, Finland. According to multiple soldiers, a small "plane"-like bomb with wings fell off of a German plane. Another V-1 was launched which flew over the Finnish soldiers' lines. The second bomb suddenly stopped its engine and fell steeply down, exploding and leaving a crater around 20–30 meters wide. The V-1 flying bomb was referred by Finnish soldiers as a "Flying Torpedo" due to its resemblance to one from afar.

Design and development

In 1935, Paul Schmidt and Professor Georg Hans Madelung submitted a design to the Luftwaffe for a flying bomb. It was an innovative design that used a jet engine, a pulse-jet engine, while previous work dating back to 1915 by Sperry Gyroscope, relied on propellers. While employed by the Argus Motoren company, Fritz Gosslau developed a remote-controlled target drone, the FZG 43. In October 1939, Argus proposed Fernfeuer, a remote-controlled aircraft carrying a payload of one ton, that could return to base after releasing its bomb. Argus worked in co-operation with C. Lorenz AG and Arado Flugzeugwerke to develop the project. However, once again, the Luftwaffe declined to award a development contract. In 1940, Schmidt and Argus began cooperating, integrating Schmidt's shutter system with Argus' atomized fuel injection. Tests began in January 1941, and the first flight made on 30 April 1941 with a Gotha Go 145. On 27 February 1942, Gosslau and Robert Lusser sketched out the design of an aircraft with the pulse-jet above the tail, the basis for the future V-1.
Lusser produced a preliminary design in April 1942, P35 Efurt, which used gyroscopes. When submitted to the Luftwaffe on 5 June 1942, the specifications included a range of 186 miles, a speed of 435 mph, and capable of delivering a half ton warhead. Project Fieseler Fi 103 was approved on 19 June, and assigned code name Kirschkern and cover name Flakzielgerat 76. Flight tests were conducted at the Luftwaffe's Erprobungsstelle coastal test centre at Karlshagen, Peenemünde-West.
Milch awarded Argus the contract for the engine, Fieseler the airframe, and Askania the guidance system. By 30 August, Fieseler had completed the first fuselage, and the first flight of the Fi 103 V7 took place on 10 December 1942, when it was airdropped by a Fw 200. Then on Christmas Eve, the V-1 flew 1000 yards, for about a minute, after a ground launch. On 26 May 1943, Germany decided to put both the V-1 and the V-2 into production. In July 1943, the V-1 flew 245 kilometers and impacted within a kilometre of its target.
The V-1 was named by Das Reich journalist Hans Schwarz Van Berkl in June 1944 with Hitler's approval.

Description

The V-1 was designed under the codename Kirschkern by Lusser and Gosslau, with a fuselage constructed mainly of welded sheet steel and wings built of plywood. The simple, Argus-built pulsejet engine pulsed 50 times per second, and the characteristic buzzing sound gave rise to the colloquial names "buzz bomb" or "doodlebug". It was known briefly in Germany as Maikäfer and Krähe.

Power plant

The Argus pulsejet's major components included the nacelle, fuel jets, flap valve grid, mixing chamber venturi, tail pipe and spark plug. Compressed air forced gasoline, from the 640 liter fuel tank, through the fuel jets, consisting of three banks of atomizers with three nozzles each. Argus' pressurized fuel system negated the need for a fuel pump. These nine atomizing nozzles were in front of the air inlet valve system where it mixed with air before entering the chamber. A throttle valve, connected to altitude and ram pressure instruments, controlled fuel flow. Schmidt's spring-controlled flap valve system provided an efficient straight path for incoming air. The flaps momentarily closed after each explosion, the resultant gas was partially compressed by the venturis, and the tapered tail pipe further compressed the exhaust gases creating thrust. The operation proceeded at a rate of 42 cycles per second.
Beginning in January 1941, the V-1's pulsejet engine was also tested on a variety of craft, including automobiles and an experimental attack boat known as the "Tornado". The unsuccessful prototype was a version of a Sprengboot, in which a boat loaded with explosives was steered towards a target ship and the pilot would leap out of the back at the last moment. The Tornado was assembled from surplus seaplane hulls connected in catamaran fashion with a small pilot cabin on the crossbeams. The Tornado prototype was a noisy underperformer and was abandoned in favour of more conventional piston-engine craft.
The engine made its first flight aboard a Gotha Go 145 on 30 April 1941.

Guidance system

The V-1 guidance system used a simple autopilot developed by :de:Askania Werke#Astronomische und geod.C3.A4tische Instrumente|Askania in Berlin to regulate altitude and airspeed. A pair of gyroscopes controlled yaw and pitch, while azimuth was maintained by a magnetic compass. Altitude was maintained by a barometric device. Two spherical tanks contained compressed air at 900 pounds per square inch, that drove the gyros, operated the pneumatic servo-motors controlling the rudder and elevator, and pressurized the fuel system.
The magnetic compass was located near the front of the V1, within a wooden sphere. Just before launch, the V1 would be suspended inside the Compass Swinging Building. There the compass was corrected for magnetic variance and magnetic deviation.
The RLM at first planned to use a radio control system with the V-1 for precision attacks, but the government decided instead to use the missile against London. However, some flying bombs were equipped with a basic radio transmitter operating in the range of 340-450 kHz. Once over the channel, the radio would be switched on by the vane counter, and a 400-foot aerial deployed. A coded Morse signal, unique to each V1 site, transmitted the route, and impact zone once the radio stopped transmitting.
An odometer driven by a vane anemometer on the nose determined when the target area had been reached, accurately enough for area bombing. Before launch, it was set to count backwards from a value that would reach zero upon arrival at the target in the prevailing wind conditions. As the missile flew, the airflow turned the propeller, and every 30 rotations of the propeller counted down one number on the odometer. This odometer triggered the arming of the warhead after about. When the count reached zero, two detonating bolts were fired. Two spoilers on the elevator were released, the linkage between the elevator and servo was jammed, and a guillotine device cut off the control hoses to the rudder servo, setting the rudder in neutral. These actions put the V-1 into a steep dive. While this was originally intended to be a power dive, in practice the dive caused the fuel flow to cease, which stopped the engine. The sudden silence after the buzzing alerted listeners of the impending impact.
Initially, V-1s landed within a circle in diameter, but by the end of the war, accuracy had been improved to about, which was comparable to the V-2 rocket.

Warhead

The warhead consisted of 850 kg of Amatol, 52A+ high-grade blast-effective explosive with three fuses. An electrical fuse could be triggered by nose or belly impact. Another fuse was a slow-acting mechanical fuse allowing deeper penetration into the ground, regardless of the altitude. The third fuse was a delayed action fuse, set to go off two hours after launch.
The purpose of the third fuse was to avoid the risk of this secret weapon being examined by the British. It was too short to be any sort of booby trap, but was instead meant to destroy the weapon if a soft landing had not triggered the impact fuses. These fusing systems were very reliable, and there were almost no dud V-1s recovered.

Walter Catapult

Ground-launched V-1s were propelled up an inclined launch ramp by an apparatus known as a Dampferzeuger, in which steam was generated when hydrogen peroxide was mixed with sodium permanganate. Designed by Hellmuth Walter Kommanditgesellschaft, the WR 2.3 Schlitzrohrschleuder consisted of a small gas generator trailer, where the T-Stoff and Z-Stoff combined, generating high-pressure steam that was fed into a tube within the launch rail box. A piston in the tube, connected underneath the missile, was propelled forward by the steam. This enabled the missile to become airborne with a strong enough air-flow allowing the pulse-jet engine to operate. The launch rail was 49 m long, consisting of 8 modular sections 6 m long, and a muzzle brake. Production of the Walter catapult began in January 1944.
The Walter catapult accelerated the V-1 to a launch speed of 200 mph, well above the needed minimum operational speed of 150 mph. The V-1 made British landfall at 340 mph, but accelerated to 400 mph over London, as its 150 gallons of fuel burned off.
On 18 June 1943, Hermann Göring decided on launching the V-1, using the Walter catapult, in both large launch bunkers, called Wasserwerk, and lighter installations, called the Stellungsystem. The Wasserwerk bunker measured 215m long, 36m wide, and 10m high. Four were initially to be built: Wasserwerk Desvres, Wasserwerk St. Pol, Wasserwerk Valognes, and Wasserwerk Cherbourg. Stellungsystem-I was to be operated by Flak Regiment 155, with 4 launch battalions, each having 4 launchers, and located in the Pas-de-Calais region. Stellungsystem-II, with 32 sites, was to act as a reserve unit. Stellungsystem-I and II had nine batteries manned by February 1944. Stellungsystem=III, operated by FR 255, was to be organized in the spring of 1944, and located between Rouen and Caen. The Stellungsystem locations included distinctive catapult walls pointed towards London, several "J"-shaped stowage buildings referred to as "ski" buildings, and a compass correction building. In the spring of 1944, Oberst Schmalschläger had developed a more simplified launching site, called Einsatz Stellungen. Less conspicuous, 80 launch sites and 16 support sites were located from Calais to Normandy. Each site took only 2 weeks to construct, using 40 men, and the Walter catapult only took 7–8 days to erect, when the time was ready to make it operational.
Once near the launch ramp, the wing spar and wings were attached and the missile was slid off the loading trolley, Zubringerwagen, onto the launch ramp. The ramp catapult was powered by the Dampferzeuger trolley. The pulse-jet engine was started by the Anlassgerät, which provided compressed air for the engine intake,and electrical connection to the engine spark plug, and autopilot. The Bosch spark plug was only needed to start the engine, while residual flame ignited further mixtures of gasoline and air, and the engine would be at full power after 7 seconds. The catapult would then accelerate the bomb above its stall speed of 200 mph, and ensuring sufficient ram air.

Operation Eisbär

Mass production of the FZG-76 did not start until the spring of 1944, and FR 155 was not equipped until late May 1944. Operation Eisbär, the missile attacks on London, commenced on 12 June. However, the four launch battalions could only operate from the Pas-de-Calais area, amounting to only 72 launchers. They had been supplied with missiles, Walter catapults, fuel, and other associated equipment since D-Day. None of the 9 missiles launched on the 12th reached England, while only 4 did so on the 13th. The next attempt to start the attack occurred on the night of 15/16 June, when 144 reached England, of which 73 struck London, while 53 struck Portsmouth and Southampton.
Damage was widespread and Eisenhower ordered attacks on the V-1 sites as a priority. Operation Cobra forced the retreat from the French launch sites in August, with the last battalion leaving on 29 August. Operation Donnerschlag would begin from Germany on 21 October 1944.

Operation and effectiveness

The first complete V-1 airframe was delivered on 30 August 1942, and after the first complete As.109-014 was delivered in September, the first glide test flight was on 28 October 1942 at Peenemünde, from under a Focke-Wulf Fw 200. The first powered trial was on 10 December, launched from beneath an He 111.
The LXV Armeekorps z.b.V. formed during the last days of November 1943 in France commanded by General der Artillerie z.V. Erich Heinemann was responsible for the operational use of V-1.
The conventional launch sites could theoretically launch about 15 V-1s per day, but this rate was difficult to achieve on a consistent basis; the maximum rate achieved was 18. Overall, only about 25% of the V-1s hit their targets, the majority being lost because of a combination of defensive measures, mechanical unreliability or guidance errors. With the capture or destruction of the launch facilities used to attack England, the V-1s were employed in attacks against strategic points in Belgium, primarily the port of Antwerp.
Launches against Britain were met by a variety of countermeasures, including barrage balloons and aircraft such as the Hawker Tempest and Gloster Meteor. These measures were so successful that by August 1944 about 80% of V-1s were being destroyed. In all, about 1,000 V-1s were destroyed by aircraft.
The intended operational altitude was originally set at. However, repeated failures of a barometric fuel-pressure regulator led to it being changed in May 1944, halving the operational height, thereby bringing V-1s into range of the Bofors guns commonly used by Allied AA units.
The trial versions of the V-1 were air-launched. Most operational V-1s were launched from static sites on land, but from July 1944 to January 1945, the Luftwaffe launched approximately 1,176 from modified Heinkel He 111 H-22s of the Luftwaffe's Kampfgeschwader 3 flying over the North Sea. Apart from the obvious motive of permitting the bombardment campaign to continue after static ground sites on the French coast were lost, air launching gave the Luftwaffe the opportunity to outflank the increasingly effective ground and air defences put up by the British against the missile. To minimise the associated risks, the aircrews developed a tactic called "lo-hi-lo": the He 111s would, upon leaving their airbases and crossing the coast, descend to an exceptionally low altitude. When the launch point was neared, the bombers would swiftly ascend, fire their V-1s, and then rapidly descend again to the previous "wave-top" level for the return flight. Research after the war estimated a 40% failure rate of air-launched V-1s, and the He 111s used in this role were vulnerable to night-fighter attack, as the launch lit up the area around the aircraft for several seconds. The combat potential of air-launched V-1s dwindled during 1944 at about the same rate as that of the ground-launched missiles, as the British gradually took the measure of the weapon and developed increasingly effective defence tactics.

Experimental, piloted, and long-range variants

Late in the war, several air-launched piloted V-1s, known as Fieseler Fi 103R, were built, but these were never used in combat. Hanna Reitsch made some flights in the modified V-1 Fieseler Reichenberg when she was asked to find out why test pilots were unable to land it and had died as a result. She discovered, after simulated landing attempts at high altitude, where there was air space to recover, that the craft had an extremely high stall speed, and the previous pilots with little high-speed experience had attempted their approaches much too slowly. Her recommendation of much higher landing speeds was then introduced in training new Reichenberg volunteer pilots. The Reichenbergs were air-launched rather than fired from a catapult ramp, as erroneously portrayed in the film Operation Crossbow.
There were plans, not put into practice, to use the Arado Ar 234 jet bomber to launch V-1s either by towing them aloft or by launching them from a "piggy back" position atop the aircraft. In the latter configuration, a pilot-controlled, hydraulically operated dorsal trapeze mechanism would elevate the missile on the trapeze's launch cradle about clear of the 234's upper fuselage. This was necessary to avoid damaging the mother craft's fuselage and tail surfaces when the pulsejet ignited, as well as to ensure a "clean" airflow for the Argus motor's intake. A somewhat less ambitious project undertaken was the adaptation of the missile as a "flying fuel tank" for the Messerschmitt Me 262 jet fighter, which was initially test-towed behind an He 177A Greif bomber. The pulsejet, internal systems and warhead of the missile were removed, leaving only the wings and basic fuselage, now containing a single large fuel tank. A small cylindrical module, similar in shape to a finless dart, was placed atop the vertical stabiliser at the rear of the tank, acting as a centre of gravity balance and attachment point for a variety of equipment sets. A rigid towbar with a pitch pivot at the forward end connected the flying tank to the Me 262. The operational procedure for this unusual configuration saw the tank resting on a wheeled trolley for take-off. The trolley was dropped once the combination was airborne, and explosive bolts separated the towbar from the fighter upon exhaustion of the tank's fuel supply. A number of test flights were conducted in 1944 with this set-up, but inflight "porpoising" of the tank, with the instability transferred to the fighter, meant that the system was too unreliable to be used. An identical utilisation of the V-1 flying tank for the Ar 234 bomber was also investigated, with the same conclusions reached. Some of the "flying fuel tanks" used in trials utilised a cumbersome fixed and spatted undercarriage arrangement, which merely increased the drag and stability problems already inherent in the design.
One variant of the basic Fi 103 design did see operational use. The progressive loss of French launch sites as 1944 proceeded and the area of territory under German control shrank meant that soon the V-1 would lack the range to hit targets in England. Air launching was one alternative utilised, but the most obvious solution was to extend the missile's range. Thus the F-1 version developed. The weapon's fuel tank was increased in size, with a corresponding reduction in the capacity of the warhead. Additionally, the nose cones and wings of the F-1 models were made of wood, affording a considerable weight saving. With these modifications, the V-1 could be fired at London and nearby urban centres from prospective ground sites in the Netherlands. Frantic efforts were made to construct a sufficient number of F-1s in order to allow a large-scale bombardment campaign to coincide with the Ardennes Offensive, but numerous factors delayed the delivery of these long-range V-1s until February/March 1945. Beginning on 2 March 1945, slightly more than three weeks before the V-1 campaign finally ended, several hundred F-1s were launched at Britain from Dutch sites under Operation "Zeppelin". Frustrated by increasing Allied dominance in the air, Germany also employed V-1s to attack the RAF's forward airfields, such as Volkel, in the Netherlands.
There was also a turbojet-propelled upgraded variant proposed, meant to use the Porsche 109-005 low-cost turbojet engine with about 500 kgf thrust.
Almost 30,000 V-1s were made; by March 1944, they were each produced in 350 hours, at a cost of just 4% of a V-2, which delivered a comparable payload. Approximately 10,000 were fired at England; 2,419 reached London, killing about 6,184 people and injuring 17,981. The greatest density of hits was received by Croydon, on the south-east fringe of London. Antwerp, Belgium was hit by 2,448 V-1s from October 1944 to March 1945.

Intelligence reports

The codename "Flakzielgerät 76"—"Flak target apparatus" helped to hide the nature of the device, and some time passed before references to FZG 76 were linked to the V-83 pilotless aircraft that had crashed on Bornholm in the Baltic and to reports from agents of a flying bomb capable of being used against London. Importantly, the Polish Home Army intelligence contributed information on V-1 construction and a place of development. Initially, British experts were sceptical of the V-1 because they had considered only solid-fuel rockets, which could not attain the stated range of. However, they later considered other types of engine, and by the time German scientists had achieved the needed accuracy to deploy the V-1 as a weapon, British intelligence had a very accurate assessment of it.

Countermeasures in England

Anti-aircraft guns

The British defence against the German long-range weapons was Operation Crossbow. Anti-aircraft guns of the Royal Artillery and RAF Regiment redeployed in several movements: first in mid-June 1944 from positions on the North Downs to the south coast of England, then a cordon closing the Thames Estuary to attacks from the east. In September 1944, a new linear defence line was formed on the coast of East Anglia, and finally in December there was a further layout along the Lincolnshire–Yorkshire coast. The deployments were prompted by changes to the approach tracks of the V-1 as launch sites were overrun by the Allies' advance.
On the first night of sustained bombardment, the anti-aircraft crews around Croydon were jubilant – suddenly they were downing unprecedented numbers of German bombers; most of their targets burst into flames and fell when their engines cut out. There was great disappointment when the truth was announced. Anti-aircraft gunners soon found that such small fast-moving targets were, in fact, very difficult to hit. The cruising altitude of the V-1, between, was just above the effective range of light anti-aircraft guns, and just below the optimum engagement height of heavier guns.
The altitude and speed were more than the rate of traverse of the standard British QF 3.7-inch mobile gun could cope with. The static version of the QF 3.7-inch, designed for use on a permanent, concrete platform, had a faster traverse. The cost and delay of installing new permanent platforms for the guns was fortunately found to be unnecessary, a temporary platform built devised by the REME and made from railway sleepers and rails was found to be adequate for the static guns, making them considerably easier to re-deploy as the V-1 threat changed.
The development of the proximity fuze and of centimetric, 3 gigahertz frequency gun-laying radars based on the cavity magnetron helped to counter the V-1's high speed and small size. In 1944, Bell Labs started delivery of an anti-aircraft predictor fire-control system based on an analogue computer, just in time for the Allied invasion of Europe.
These electronic aids arrived in quantity from June 1944, just as the guns reached their firing positions on the coast. Seventeen per cent of all flying bombs entering the coastal "gun belt" were destroyed by guns in their first week on the coast. This rose to 60 per cent by 23 August and 74 per cent in the last week of the month, when on one day 82 per cent were shot down. The rate improved from thousands of shells for every one V-1 destroyed to one for every 100. This mostly ended the V-1 threat. As General Frederick Pile put it in an April 5, 1946 article in the London Times: "It was the proximity fuse which made possible the 100 per cent successes that A.A. Command was obtaining regularly in the early months of last year...American scientists...gave us the final answer to the flying bomb."

Barrage balloons

Eventually about 2,000 barrage balloons were deployed, in the hope that V-1s would be destroyed when they struck the balloons' tethering cables. The leading edges of the V-1's wings were fitted with Kuto cable cutters, and fewer than 300 V-1s are known to have been brought down by barrage balloons.

Interceptors

The Defence Committee expressed some doubt as to the ability of the Royal Observer Corps to adequately deal with the new threat, but the ROC's Commandant Air Commodore Finlay Crerar assured the committee that the ROC could again rise to the occasion and prove its alertness and flexibility. He oversaw plans for handling the new threat, codenamed by the RAF and ROC as "Operation Totter".
Observers at the coast post of Dymchurch identified the very first of these weapons and within seconds of their report the anti-aircraft defences were in action. This new weapon gave the ROC much additional work both at posts and operations rooms. Eventually RAF controllers actually took their radio equipment to the two closest ROC operations rooms at Horsham and Maidstone, and vectored fighters direct from the ROC's plotting tables. The critics who had said that the Corps would be unable to handle the fast-flying jet aircraft were answered when these aircraft on their first operation were actually controlled entirely by using ROC information both on the coast and at inland.
The average speed of V-1s was and their average altitude was to. Fighter aircraft required excellent low altitude performance to intercept them and enough firepower to ensure that they were destroyed in the air rather than the V-1 crashing to earth and detonating. Most aircraft were too slow to catch a V-1 unless they had a height advantage, allowing them to gain speed by diving on their target.
When V-1 attacks began in mid-June 1944, the only aircraft with the low-altitude speed to be effective against it was the Hawker Tempest. Fewer than 30 Tempests were available. They were assigned to No. 150 Wing RAF. Early attempts to intercept and destroy V-1s often failed, but improved techniques soon emerged. These included using the airflow over an interceptor's wing to raise one wing of the V-1, by sliding the wingtip to within of the lower surface of the V-1's wing. If properly executed, this manoeuvre would tip the V-1's wing up, over-riding the gyro and sending the V-1 into an out-of-control dive. At least sixteen V-1s were destroyed this way.
The Tempest fleet was built up to over 100 aircraft by September, and during the short summer nights the Tempests shared defensive duty with de Havilland Mosquitos. Specially modified P-47M Thunderbolts were also pressed into service against the V-1s; they had boosted engines and had half their 0.5in machine guns and half their fuel tanks, all external fittings and all their armour plate removed. In addition, North American P-51 Mustangs and Griffon-engined Supermarine Spitfire Mk XIVs were tuned to make them fast enough, At night airborne radar was not needed, as the V-1 engine could be heard from away or more and the exhaust plume was visible from a long distance. Wing Commander Roland Beamont had the 20 mm cannon on his Tempest adjusted to converge at ahead. This was so successful that all other aircraft in 150 Wing were thus modified.
The anti-V-1 sorties by fighters were known as "Diver patrols". Attacking a V-1 was dangerous: machine guns had little effect on the V-1's sheet steel structure, and if a cannon shell detonated the warhead, the explosion could destroy the attacker.
In daylight, V-1 chases were chaotic and often unsuccessful until a special defence zone was declared between London and the coast, in which only the fastest fighters were permitted. The first interception of a V-1 was by F/L J. G. Musgrave with a No. 605 Squadron RAF Mosquito night fighter on the night of 14/15 June 1944. As daylight grew stronger after the night attack, a Spitfire was seen to follow closely behind a V-1 over Chislehurst and Lewisham. Between June and 5 September 1944, a handful of 150 Wing Tempests shot down 638 flying bombs, with No. 3 Squadron RAF alone claiming 305. One Tempest pilot, Squadron Leader Joseph Berry, shot down 59 V-1s, the Belgian ace Squadron Leader Remy Van Lierde destroyed 44 and W/C Roland Beamont destroyed 31.
The next most successful interceptors were the Mosquito, Spitfire XIV, and Mustang. All other types combined added 158. Even though it was not fully operational, the jet-powered Gloster Meteor was rushed into service with No. 616 Squadron RAF to fight the V-1s. It had ample speed but its cannons were prone to jamming, and it shot down only 13 V-1s.
In late 1944 a radar-equipped Vickers Wellington bomber was modified for use by the RAF's Fighter Interception Unit as an Airborne Early Warning and Control aircraft. Flying at an altitude of over the North Sea, it directed Mosquito fighters charged with intercepting He 111s from Dutch airbases that sought to launch V-1s from the air.

Disposal

The first bomb disposal officer to defuse an unexploded V-1 was John Pilkington Hudson in 1944.

Deception

To adjust and correct settings in the V-1 guidance system, the Germans needed to know where the V-1s were impacting. Therefore, German intelligence was requested to obtain this impact data from their agents in Britain. However, all German agents in Britain had been turned, and were acting as double agents under British control.
On 16 June 1944, British double agent Garbo was requested by his German controllers to give information on the sites and times of V-1 impacts, with similar requests made to the other German agents in Britain, Brutus and Tate. If given this data, the Germans would be able to adjust their aim and correct any shortfall. However, there was no plausible reason why the double agents could not supply accurate data; the impacts would be common knowledge amongst Londoners and very likely reported in the press, which the Germans had ready access to through the neutral nations. In addition, as John Cecil Masterman, chairman of the Twenty Committee, commented, "If, for example, St Paul's Cathedral were hit, it was useless and harmful to report that the bomb had descended upon a cinema in Islington, since the truth would inevitably get through to Germany..."
While the British decided how to react, Pujol played for time. On 18 June it was decided that the double agents would report the damage caused by V-1s fairly accurately and minimise the effect they had on civilian morale. It was also decided that Pujol should avoid giving the times of impacts, and should mostly report on those which occurred in the north west of London, to give the impression to the Germans that they were overshooting the target area.
While Pujol downplayed the extent of V-1 damage, trouble came from Ostro, an Abwehr agent in Lisbon who pretended to have agents reporting from London. He told the Germans that London had been devastated and had been mostly evacuated as a result of enormous casualties. The Germans could not perform aerial reconnaissance of London, and believed his damage reports in preference to Pujol's. They thought that the Allies would make every effort to destroy the V-1 launch sites in France. They also accepted Ostros impact reports. Due to Ultra, however, the Allies read his messages and adjusted for them.
A certain number of the V-1s fired had been fitted with radio transmitters, which had clearly demonstrated a tendency for the V-1 to fall short. Oberst Max Wachtel, commander of Flak Regiment 155, which was responsible for the V-1 offensive, compared the data gathered by the transmitters with the reports obtained through the double agents. He concluded, when faced with the discrepancy between the two sets of data, that there must be a fault with the radio transmitters, as he had been assured that the agents were completely reliable. It was later calculated that if Wachtel had disregarded the agents' reports and relied on the radio data, he would have made the correct adjustments to the V-1's guidance, and casualties might have increased by 50 per cent or more.
The policy of diverting V-1 impacts away from central London was initially controversial. The War Cabinet refused to authorise a measure that would increase casualties in any area, even if it reduced casualties elsewhere by greater amounts. It was thought that Churchill would reverse this decision later ; but the delay in starting the reports to Germans might be fatal to the deception. So Sir Findlater Stewart of Home Defence Executive took responsibility for starting the deception programme immediately, and his action was approved by Churchill when he returned.

End of the V-1 attacks against England

By September 1944, the V-1 threat to England was temporarily halted when the launch sites on the French coast were overrun by the advancing Allied armies. 4,261 V-1s had been destroyed by fighters, anti-aircraft fire and barrage balloons. The last enemy action of any kind on British soil occurred on 29 March 1945, when a V-1 struck Datchworth in Hertfordshire.

Assessment

Unlike the V-2, the V-1 was a cost-effective weapon for the Germans as it forced the Allies to spend heavily on defensive measures and divert bombers from other targets. More than 25% of Combined Bomber Offensive's bombs in July and August 1944 were used against V-weapon sites, often ineffectively. In early December 1944, American General Clayton Bissell wrote a paper that argued strongly in favour of the V-1 when compared with conventional bombers.
The following is a table he produced:

The statistics of this report, however, have been the subject of some dispute. The V-1 missiles launched from bombers were often prone to exploding prematurely, occasionally resulting in the loss of the aircraft to which they were attached. The Luftwaffe lost 77 aircraft in 1,200 of these sorties.
Wright Field technical personnel reverse-engineered the V-1 from the remains of one that had failed to detonate in Britain. The result was the creation of the JB-2 Loon.
General Hap Arnold of the United States Army Air Forces was concerned that this weapon could be built of steel and wood, in 2000 man-hours and approximate cost of US$600. To put this figure in perspective, a Boeing B-29 Superfortress cost about 1000 times more, and still about 100 times more when taking into account its 10 times higher payload payload, which cost has to be added with the additional drawback of requiring 11 flying crew members.

Belgian attacks

The attacks on Antwerp and Brussels began in October 1944, with the last V-1 launched against Antwerp on 30 March 1945. The shorter range improved the accuracy of the V-1 which was six miles deviation per hundred miles of flight, the flight level was also reduced to around 3,000 ft.
The Port of Antwerp was recognised by both the German and Allied high commands as a very important port. It was essential logistically for the further progression of Allied armies into Germany, although initially Montgomery had not given high priority to seizure of the Scheldt estuary giving access to the port.

Countermeasures at Antwerp

Both British and US Army anti-aircraft batteries were sent to Antwerp together with a searchlight regiment. The zone of command under the 21st Army Group was called "Antwerp-X" and given the object of protecting an area with a radius of 7,000 yards covering the city and dock area. Initially attacks came from the south-east, accordingly a screen of observers and searchlights was deployed along the attack azimuth, behind which were three rows of batteries with additional searchlights.
US units deployed SCR-584 radar units controlling four 90mm guns per battery using an M9 director to electrically control the battery guns. Backup for the American guns was automatic 40mm batteries, which were not effective against V-1s.
British gun batteries were each equipped with eight QF 3.7-inch AA gun and two radar units, preferably the US SCR-584 with M9 director as it was more accurate than the British system. Backup for the British guns was also automatic 40mm batteries.
The radar was effective from 28,000 yards, the M9 director predicted the target location position based on course, height and speed which combined with the gun, shell and fuse characteristics predicted an impact position, adjusted each gun and fired the shell.
In November attacks began from the north-east and additional batteries were deployed along the new azimuths, including the 184th AAA Battalion brought from Paris. Additional radar units and observers were deployed up to 40 miles from Antwerp to give early warning of V-1 bombs approaching. The introduction of the VT fuse in January 1945 improved the effectiveness of the guns and reduced ammunition consumption.
From October 1944 to March 1945 4,883 V-1's were detected. Of these, only 4.5% fell into the designated protected area. The effectiveness of the anti aircraft defence meant that only 211 got through the defences, however those that fell within the area caused damage and loss of life.

Japanese developments

In 1943, an Argus pulsejet engine was shipped to Japan by German submarine. The Aeronautical Institute of Tokyo Imperial University and the Kawanishi Aircraft Company conducted a joint study of the feasibility of mounting a similar engine on a piloted plane. The resulting design was named Baika but bore no more than a superficial resemblance to the Fi 103. Baika never left the design stage but technical drawings and notes suggest that several versions were considered: an air-launched version with the engine under the fuselage, a ground-launched version that could take off without a ramp and a submarine launched version with the engine moved forwards.

Post-war

After the war, the armed forces of France, the Soviet Union and the United States experimented with the V-1.

France

After reverse-engineering captured V-1s in 1946, the French began producing copies for use as target drones, starting in 1951. These were called the ARSAERO CT 10 and were smaller than the V-1. The CT 10 could be ground-launched using solid rocket boosters or air-launched from a LeO 45 bomber. More than 400 were produced, some of which were exported to the UK, Sweden, and Italy.

Soviet Union

The Soviet Union captured V-1s when they overran the Blizna test range in Poland, as well as from the Mittelwerk. The 10Kh was their copy of the V-1, later called Izdeliye 10. Initial tests began in March 1945 at a test range in Tashkent, with further launches from ground sites and from aircraft of improved versions continuing into the late 1940s. The inaccuracy of the guidance system when compared with new methods such as beam-riding and TV guidance saw development end in the early 1950s.
The Soviets also worked on a piloted attack aircraft based on the Argus pulsejet engine of the V-1, which began as a German project, the Junkers EF 126 Lilli, in the latter stages of the war. The Soviet development of the Lilli ended in 1946 after a crash that killed the test pilot.

United States

The United States reverse-engineered the V-1 in 1944 from salvaged parts recovered in England during June. By 8 September, the first of thirteen complete prototype Republic-Ford JB-2 Loons, was assembled at Republic Aviation. The United States JB-2 was different from the German V-1 in only the smallest of dimensions, with only the forward pulsejet support pylon visibly differing in shape from the original German pilotless ordnance design. The wing span was only wider and the length was extended less than. The difference gave the JB-2 of wing area versus for the V-1.
A navalised version, designated KGW-1, was developed to be launched from LSTs as well as escort carriers and long-range 4-engine reconnaissance aircraft. Waterproof carriers for the KGW-1 were developed for launches of the missile from surfaced submarines. Both the USAAF JB-2 and Navy KGW-1 were put into production and were planned to be used in the Allied invasion of Japan. However, the surrender of Japan obviated the need for its use. After the end of the war, the JB-2/KGW-1 played a significant role in the development of more advanced surface-to-surface tactical missile systems such as the MGM-1 Matador and later MGM-13 Mace.

Operators

;Australia
;Belgium
;Canada
;Denmark
;France
;Germany
;The Netherlands
;New Zealand
;Sweden
;Switzerland
;United Kingdom
;United States