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ATT&CK Technique

Path Interception by PATH Environment Variable

T1574.007 · stealth, execution

Adversaries may execute their own malicious payloads by hijacking environment variables used to load libraries. The PATH environment variable contains a list of directories (User and System) that the OS searches sequentially through in search of the binary that was called from a script or the command line. Adversaries can place a malicious program in an earlier entry in the list of directories stored in the PATH environment variable, resulting in the operating system executing the malicious binary rather than the legitimate binary when it searches sequentially through that PATH listing.

For example, on Windows if an adversary places a malicious program named "net.exe" in C:\example path, which by default precedes C:\Windows\system32\net.exe in the PATH environment variable, when "net" is executed from the command-line the C:\example path will be called instead of the system's legitimate executable at C:\Windows\system32\net.exe. Some methods of executing a program rely on the PATH environment variable to determine the locations that are searched when the path for the program is not given, such as executing programs from a Command and Scripting Interpreter. Adversaries may also directly modify the $PATH variable specifying the directories to be searched.

An adversary can modify the $PATH variable to point to a directory they have write access. When a program using the $PATH variable is called, the OS searches the specified directory and executes the malicious binary. On macOS, this can also be performed through modifying the $HOME variable.

These variables can be modified using the command-line, launchctl, Unix Shell Configuration Modification, or modifying the /etc/paths.d folder contents.

LinuxmacOSWindows

Mitigations

3
MITRE ATT&CK mitigations - vendor-agnostic guidance for reducing exposure to this technique.
M1022Restrict File and Directory Permissions

Restricting file and directory permissions involves setting access controls at the file system level to limit which users, groups, or processes can read, write, or execute files. By configuring permissions appropriately, organizations can reduce the attack surface for adversaries seeking to access sensitive data, plant malicious code, or tamper with system files.

Enforce Least Privilege Permissions
  • Remove unnecessary write permissions on sensitive files and directories.
  • Use file ownership and groups to control access for specific roles. Example (Windows): Right-click the shared folder.
  • Properties.
  • Security tab.
  • Adjust permissions for NTFS ACLs.
Harden File Shares
  • Disable anonymous access to shared folders.
  • Enforce NTFS permissions for shared folders on Windows. Example: Set permissions to restrict write access to critical files, such as system executables (e.g., /bin or /sbin on Linux). Use tools like chown and chmod to assign file ownership and limit access. On Linux, apply: chmod 750 /etc/sensitive.conf `chown root:admin /etc/sensitive.
conf` File Integrity Monitoring (FIM)
  • Use tools like Tripwire, Wazuh, or OSSEC to monitor changes to critical file permissions.
Audit File System Access
  • Enable auditing to track permission changes or unauthorized access attempts.
  • Use auditd (Linux) or Event Viewer (Windows) to log activities.
Restrict Startup Directories
  • Configure permissions to prevent unauthorized writes to directories like C:\ProgramData\Microsoft\Windows\Start Menu. Example: Restrict write access to critical directories like /etc/, /usr/local/, and Windows directories such as C:\Windows\System32.
  • On Windows, use icacls to modify permissions: icacls "C:\Windows\System32" /inheritance:r /grant:r SYSTEM:(OI)(CI)F.
  • On Linux, monitor permissions using tools like lsattr or auditd.
M1038Execution Prevention

Prevent the execution of unauthorized or malicious code on systems by implementing application control, script blocking, and other execution prevention mechanisms. This ensures that only trusted and authorized code is executed, reducing the risk of malware and unauthorized actions.

Application Control
  • Use Case: Use tools like AppLocker or Windows Defender Application Control (WDAC) to create whitelists of authorized applications and block unauthorized ones. On Linux, use tools like SELinux or AppArmor to define mandatory access control policies for application execution.
  • Implementation: Allow only digitally signed or pre-approved applications to execute on servers and endpoints. (e.g., `New-AppLockerPolicy -PolicyType Enforced -FilePath "C:\Policies\AppLocker.
xml"`) Script Blocking
  • Use Case: Use script control mechanisms to block unauthorized execution of scripts, such as PowerShell or JavaScript. Web Browsers: Use browser extensions or settings to block JavaScript execution from untrusted sources.
  • Implementation: Configure PowerShell to enforce Constrained Language Mode for non-administrator users. (e.g.
, Set-ExecutionPolicy AllSigned) Executable Blocking
  • Use Case: Prevent execution of binaries from suspicious locations, such as %TEMP% or %APPDATA% directories.
  • Implementation: Block execution of .exe, .bat, or .ps1 files from user-writable directories.
Dynamic Analysis Prevention
  • Use Case: Use behavior-based execution prevention tools to identify and block malicious activity in real time.
  • Implemenation: Employ EDR solutions that analyze runtime behavior and block suspicious code execution.
M1047Audit

Auditing is the process of recording activity and systematically reviewing and analyzing the activity and system configurations. The primary purpose of auditing is to detect anomalies and identify potential threats or weaknesses in the environment. Proper auditing configurations can also help to meet compliance requirements.

The process of auditing encompasses regular analysis of user behaviors and system logs in support of proactive security measures. Auditing is applicable to all systems used within an organization, from the front door of a building to accessing a file on a fileserver. It is considered more critical for regulated industries such as, healthcare, finance and government where compliance requirements demand stringent tracking of user and system activates.

System Audit
  • Use Case: Regularly assess system configurations to ensure compliance with organizational security policies.
  • Implementation: Use tools to scan for deviations from established benchmarks.
Permission Audits
  • Use Case: Review file and folder permissions to minimize the risk of unauthorized access or privilege escalation.
  • Implementation: Run access reviews to identify users or groups with excessive permissions.
Software Audits
  • Use Case: Identify outdated, unsupported, or insecure software that could serve as an attack vector.
  • Implementation: Use inventory and vulnerability scanning tools to detect outdated versions and recommend secure alternatives.
Configuration Audits
  • Use Case: Evaluate system and network configurations to ensure secure settings (e.g., disabled SMBv1, enabled MFA).
  • Implementation: Implement automated configuration scanning tools like SCAP (Security Content Automation Protocol) to identify non-compliant systems.
Network Audits
  • Use Case: Examine network traffic, firewall rules, and endpoint communications to identify unauthorized or insecure connections.
  • Implementation: Utilize tools such as Wireshark, or Zeek to monitor and log suspicious network behavior.

Detection Coverage

2/6 layers
Coverage across standard detection surfaces. Rows marked none have no rule of that type mapped. Some are real blind spots worth closing; others are simply not applicable to this technique (e.g. YARA matches malware files, not network behaviour).
Behavioral / log (Sigma) 2
Analytics (MITRE CAR) 1
Runtime / container (Falco) none
File / malware (YARA) none
Network (Suricata/Snort) none
Vuln scan (Nuclei) none

CAR Analytics

1
MITRE Cyber Analytics Repository - field-tested detection logic for this technique, written as pseudocode/queries you adapt to your own SIEM (Splunk, Sentinel, EQL). Each is a ready starting point for a detection rule, not just a description.
CAR-2013-01-002Moderate coverageAutorun Differences

The Sysinternals tool [Autoruns](../sensors/autoruns) checks the registry and file system for known identify persistence mechanisms. It will output any tools identified, including built-in or added-on Microsoft functionality and third party software. Many of these locations are known by adversaries and used to obtain Persistence.

Running Autoruns periodically in an environment makes it possible to collect and monitor its output for differences, which may include the removal or addition of persistent tools. Depending on the persistence mechanism and location, legitimate software may be more likely to make changes than an adversary tool. Thus, this analytic may result in significant noise in a highly dynamic environment.

While Autoruns is a convenient method to scan for programs using persistence mechanisms its scanning nature does not conform well to streaming based analytics. This analytic could be replaced with one that draws from sensors that collect registry and file information if streaming analytics are desired. Utilizes the Sysinternals autoruns tool (ignoring validated Microsoft entries).

Primarily not a detection analytic by itself but through analysis of results by an analyst can be used for such. Building another analytic on top of this one identifying unusual entries would likely be a beneficial alternative.

Comply & Defend

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