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ATT&CK Technique

Disable or Modify Linux Audit System Log

T1685.004 · defense-impairment

Adversaries may disable or modify the Linux Audit system to hide malicious activity and avoid detection. Linux admins use the Linux Audit system to track security-relevant information on a system. The Linux Audit system operates at the kernel-level and maintains event logs on application and system activity such as process, network, file, and login events based on pre-configured rules.

Often referred to as auditd, this is the name of the daemon used to write events to disk and is governed by the parameters set in the audit.conf configuration file. Two primary ways to configure the log generation rules are through the command line auditctl utility and the file /etc/audit/audit.rules, containing a sequence of auditctl commands loaded at boot time. With root privileges, adversaries may be able to ensure their activity is not logged through disabling the Audit system service, editing the configuration/rule files, or by hooking the Audit system library functions.

Using the command line, adversaries can disable the Audit system service through killing processes associated with auditd daemon or use systemctl to stop the Audit service. Adversaries can also hook Audit system functions to disable logging or modify the rules contained in the /etc/audit/audit.rules or audit.conf files to ignore malicious activity.

Linux

Atomic Tests

2
Executable Atomic Red Team test cases for exercising this technique in a lab. Copy a command, run it on the listed platform, confirm your detections fire.
shelevatedlinuxDelete all auditd rules using auditctl
Using 'auditctl -D' deletes all existing audit rules, resulting in the loss of previously configured monitoring settings and the audit trail. This action reduces visibility into system activities, potentially leading to compliance concerns and hampering security monitoring efforts. Additionally, it poses a risk of covering unauthorized activities by erasing evidence from audit logs.
auditctl -D
shelevatedlinuxDisable auditd using auditctl
The command `auditctl -e 0` disables the audit system. By setting the parameter to `0`, auditing is deactivated, halting the monitoring and recording of security-related events. This action stops the generation of audit logs, ceasing the collection of data regarding system activities. Disabling auditing may be done for various reasons, such as troubleshooting, performance optimization, or temporarily suspending auditing requirements, but it reduces visibility into system events and can impact security monitoring and compliance efforts.
auditctl -e 0

Mitigations

2
MITRE ATT&CK mitigations - vendor-agnostic guidance for reducing exposure to this technique.
M1018User Account Management

User Account Management involves implementing and enforcing policies for the lifecycle of user accounts, including creation, modification, and deactivation. Proper account management reduces the attack surface by limiting unauthorized access, managing account privileges, and ensuring accounts are used according to organizational policies.

Enforcing the Principle of Least Privilege
  • Implementation: Assign users only the minimum permissions required to perform their job functions. Regularly audit accounts to ensure no excess permissions are granted.
  • Use Case: Reduces the risk of privilege escalation by ensuring accounts cannot perform unauthorized actions. Implementing Strong Password Policies.
  • Implementation: Enforce password complexity requirements (e.g., length, character types). Require password expiration every 90 days and disallow password reuse.
  • Use Case: Prevents adversaries from gaining unauthorized access through password guessing or brute force attacks. Managing Dormant and Orphaned Accounts.
  • Implementation: Implement automated workflows to disable accounts after a set period of inactivity (e.g., 30 days). Remove orphaned accounts (e.g., accounts without an assigned owner) during regular account audits.
  • Use Case: Eliminates dormant accounts that could be exploited by attackers. Account Lockout Policies.
  • Implementation: Configure account lockout thresholds (e.g., lock accounts after five failed login attempts). Set lockout durations to a minimum of 15 minutes.
  • Use Case: Mitigates automated attack techniques that rely on repeated login attempts. Multi-Factor Authentication (MFA) for High-Risk Accounts.
  • Implementation: Require MFA for all administrative accounts and high-risk users. Use MFA mechanisms like hardware tokens, authenticator apps, or biometrics.
  • Use Case: Prevents unauthorized access, even if credentials are stolen. Restricting Interactive Logins.
  • Implementation: Restrict interactive logins for privileged accounts to specific secure systems or management consoles. Use group policies to enforce logon restrictions.
  • Use Case: Protects sensitive accounts from misuse or exploitation.
Tools for Implementation Built-in Tools
  • Microsoft Active Directory (AD): Centralized account management and RBAC enforcement.
  • Group Policy Object (GPO): Enforce password policies, logon restrictions, and account lockout policies.
Identity and Access Management (IAM) Tools
  • Okta: Centralized user provisioning, MFA, and SSO integration.
  • Microsoft Azure Active Directory: Provides advanced account lifecycle management, role-based access, and conditional access policies.
Privileged Account Management (PAM)
  • CyberArk, BeyondTrust, Thycotic: Manage and monitor privileged account usage, enforce session recording, and JIT access.
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

1/6 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) 1
Analytics (MITRE CAR) none
Runtime / container (Falco) none
File / malware (YARA) none
Network (Suricata/Snort) none
Vuln scan (Nuclei) none
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