Keeping The Lights On: Cybersecurity Law for the Electric Grid

Posted September 23rd, 2008 by

Ever wondered if your electricity supply was safe from computer attack? Congress wondered that too. So they asked the Federal Energy Regulatory Commission (FERC) to find out. The answers they received in October of 2007 were not encouraging.

After 9/11 there was concern about the safety of the Bulk Power Supply (BPS). The President’s Commission on Critical Infrastructure Protection released a report which was explicit about the dangers faced. A frightening example of these dangers was demonstrated by the Aurora vulnerability, essentially a software hack that made a generator crash hard. When faced with this example industry moved to mitigate the problem with some prodding from Department of Homeland Security (DHS), Nuclear Regulatory Commission (NRC) and FERC. The Nuclear Sector, which is regulated by NRC, issued a requirement to address the problem. The Electric Sector was issued a recommendation to address the problem by the Electric Sector Information Sharing and Analysis Center (ES-ISAC). Guess which industry has moved forward with successful mitigation efforts and which has not. FERC reported back on these findings in October of 2007.

Fast forward to now. On September 11th the Bulk Power System Protection Act (BPSPA) of 2008 (PDF link) was put forward by Rep. Rick Boucher (D-VA), chairman of the House Subcommittee on Energy and Air Quality. In addition to the September 11th hearing on the BPSPA a closed door hearing was expected to be conducted the following week. The goal of this legislation is to expand the emergency power of FERC to regulate cybersecurity for the BPS. The act itself does not appear to be strongly opposed by the energy industry but, as always, the devil is in the details.

Diablo Canyon Nuclear Power Plant photo by emdot.

The draft legislation is disputed on three major points; whether to include national security threats, disclosure of threat information and a sunset provision.

FERC recommends wording that would make explicit the requirement to address national security threats. This seems an implicit and reasonable expectation that the people of the United States would have of the agency regulating the BPS but the Energy Sector considers this too expansive a role. They argue that it might cause expensive requirements to be issued such as stockpiling fuel.

The disclosure of threat information is a sore point. Here you can understand the pain of the industry in dealing with government intelligence agencies who would like to keep details of a threat spare to preserve the source of that information. Unfortunately the government must preserve their sources while providing enough information for the industry to react.

Both FERC and the Energy Sector agree on the idea of a sunset provision. The sunset provision in this case stipulates that so long as an order is implemented as a standard it should terminate one year after issuance unless renewed by the President or the Secretary of Energy. The issue is whether this sunset will include the orders to address existing problems (such as the Aurora vulnerability) in addition to orders issued for future vulnerabilities. FERC recommends that only future orders should be sunsetted while the Energy Sector recommends both current and future orders should be sunsetted.

One element which is not adequately addressed in this legislation is how FERC will build the capability to assess and manage cybersecurity issues for the BPS. What should be in place is a bipartite separation of duties between FERC and NIST similar to what is in place with the dual OMB/NIST FISMA roles. FERC would oversee the security while NIST would provide technical guidance on what security should be put in place. FERC does not have the experience in security frameworks or in depth expertise in SCADA security which is required for a cybersecurity initiative of this magnitude.

It is worth noting that Energy Policy Act of 2005 (PDF link) established a process through which the North American Electric Reliability Corporation’s (NERC) was authorized to enforce cybersecurity in the Energy Sector. NERC had gone so far as to create Critical Infrastructure Protection (CIP) standards to include with their Reliability Standards and had present them to FERC for approval by late 2007.

A review of the NERC CIP standards (CIP-001 through CIP-009) does not inspire confidence in NERC’s cybersecurity capabilities. I will discuss the shortcomings of this guidance in a subsequent post.



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Ooh, “The Word” is out on S 3474

Posted September 19th, 2008 by

Federal Computer Week: Senate Panel Rejects Weakening S 3474

Gene Schultz: Goodbye FISMA (as We Know It)

Let’s talk through the FCW article first, shall we?   =)

“The measure would amend the original FISMA legislation, which outlined compliance activities for agencies to meet each year. However, many agencies have turned FISMA compliance into a paperwork exercise, Carper said.”

Um, no, I don’t get that.  The original FISMA is an information security management law, this law mostly formalizes the role, responsibility, and authority of the CISO.  They intentionally named it FISMA 2008 to make people think that it was ammending the original FISMA, but it doesn’t do that.

Don’t believe the hype, this will not change the original FISMA, it’s just an addition.

“Carper said CIOs primarily develop and oversee policy, but the CISO handles the daily information security activities. He suggested that a CISO council could have a sunset date of two or three years. If the council demonstrated benefits, it could be extended, Carper said.”

OK, fair enough on the cost and coordination, but what the CISO council objectionists don’t understand is that the CIOs don’t know all of the nuts and bolts of security, that’s why we have CISO as a mandatory position in this bill–so that the CIO has a subject-matter-expert to help them out.  Yes, it’s that specialized as a profession.

Now for Gene Schultz:

“First and foremost, to comply with this statute involves generating huge amounts of paperwork to document actions (or lack thereof) taken to address the many areas that FISMA describes. A completely ineffective security practice can get high FISMA marks, as has happened numerous times before.”

OK, this is a little lesson on FISMA paperwork:  people are doing 4x what they should be doing for the following reasons:

  • The people doing the writing do not know what they are actually doing
  • The agency’s security program is not mature enough to have shared/common controls
  • In the world of auditors, if it’s not written down, it doesn’t exist
  • CYA purposes–I told you this was a risk

So you think you’re going to do any better with any other framework/law and the same people executing it?

“Two US Senators, Joseph Lieberman of Connecticut and Tom Carper of Delaware, have recently introduced a Senate bill that would render the 2002 version of FISMA obsolete.”

No, to be bluntfully honest, the old version of FISMA will still be around.  Somebody’s been drinking the kool-aid from the lawmakers and the press machine.  If anything, this adds more junk that you can get audited on and an additional layer of paperwork to demonstrate that you have met the provisions of FISMA 2008.

Post No Bills photo by striatic.

Note to our nation’s Lawmakers: as long as you approach information security from the compliance angle, we as a government are doomed to failure and to turn the entire thing into the checklist activity because the people who evaluate compliance are auditors who only know checklists–it’s not a law problem, it’s a people and skills problem.

This bill is actually pretty good with the exception of divorcing the mission owners from the security of the systems that support their mission.

However, if you think that you can reduce the compliance trap by adding more things that will end up on a compliance checklist, you have to be kidding yourself or you don’t understand the auditor mentality.

I keep reconvincing myself that the only way the government can win at security is to promote programs to develop people with security skills.  Of course, that isn’t as sexy as throwing out a bill that you can claim will make FISMA obsolete.

And finally, for those of you playing along at home, the Thomas entry for S 3474, the bill’s page on Washington Watch and the bill’s page on GovTrack.



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Next Up in Security Legislation: S3474

Posted September 15th, 2008 by

And here we have it, a bill introduced by Senators Carper and Lieberman to increase security in the Government, known as FISMA 2008. I’m still waiting on the text to appear on the Thomas entry, but I’ll go through the major provisions from the congressional record.

Article from NextGov

Thomas Reference

Congressional Record of the Bill’s Introduction and text (Starts on CR 8388 and goes through CR 8391)

Major provisions:

  • Changes some definitions of “assessment”, “audit” and “evaluation”. OK, I had to do some research on this one.  Thankfully, this is all online.  Sidenote: it’s not Section 3545 as per the bill, it’s Section 3535.  Basically this is just rewording and rescoping of annual audits to be written the way it should have been in the first place.
  • Creates a CISO position at each agency. Hey, I thought this was already created by FISMA.  What we need is not CISOs that work for the CIO, what we need are agency CSOs (I’ll even take an agency Chief Risk Officer) that have authority over all of security, not just IT geek concerns.
  • Creates a CISO Council. Fantastic idea, how come I didn’t think of it?
  • Qualifications for CISOs. Not a bad idea, but the bill doesn’t elaborate too much.
  • Responsibilities for CISOs. This is an interesting section.  Much of this is in guidance from NIST/DISA/CNSS already.  I like most of these measures, but I’m not sure that they need to be codified into law except for the pieces that reside outside of the agencies, like the coordination with US-CERT.  Putting the CISO’s responsibilities into law does give the CISO more teeth if they need it, but you have to wield the law carefully.

The Law

The Law photo by F.S.M.

From the NextGov article and the congressional record:

“Our bill empowers chief information security officers to deny access to the agency network if proper security policies are not being followed. If we are going to hold these hardworking individuals accountable in Congress for information security, then we should give them the authority to do so,” said Carper.

Um, yeah, we’ve given them the authority in this bill, but my problem is that it completely removes the DAA/AO/mission owners from the picture–the CISO is now responsible for the secure operations of IT systems and has disconnect authority.

I think that philosophically this bill is a step backwards.  The more progressive thought is that security is the responsibility of the agency head and the mission owners and that the CISO just provides support as a subject matter expert.  Under this bill, we’re back to a world where the CISO is the sole decision-maker when it comes to security.  Wow, that’s so… 1990’s-ish.

However, we all know that the CISOs are the people getting the security job done from day to day, and this bill makes sense if you assume that the agency heads and DAAs/AOs have 0 interest or skills to assist in the security of their data.  That might or might not be true, I’ll leave it up to you to decide.

Questions for today are these (and yes, I want to hear what you think):

  • Are we willing to scrap the “business/system owner” concepts that our security management processes are modeled around?
  • Are we willing to admit that the DAA/AO concept is a failure because of lack of understanding and capabilities on their part?
  • Are the mission owners willing to take an outage on their supporting IT infrastructure because the CISO took the system offline because they didn’t secure the system properly in the first place?
  • Can we rely on a management technique where the stakeholders are removed from the decisionmaking of a trained expert?


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