Raw vector
CVSS:3.1/AV:N/AC:L/PR:N/UI:N/S:C/C:H/I:N/A:LSummary
CVE-2026-61175 is a critical-severity Exposure of Sensitive Information to an Unauthorized Actor (CWE-200) vulnerability in Oracle Product Lifecycle Analytics. Its CVSS base score is 9.3 (Critical).
Operationally, exploitation aligns with the MITRE ATT&CK technique Exploit Public-Facing Application (T1190); ranked at the 33th percentile by exploit likelihood (below the median); it is not currently listed in the CISA KEV catalog.
The strongest mitigations our analysis identified map to AC-3 (Access Enforcement) and AC-4 (Information Flow Enforcement) — see the control section below for these in your framework.
OWASP Top 10 for Web (2025)
EU & UK References
- 🇪🇺 ENISA EUVD: EUVD-2026-47383
Vulnerability Data
Vulnerability in the Oracle Product Lifecycle Analytics product of Oracle Supply Chain (component: Installation Issues). The supported version that is affected is 3.6.1. Easily exploitable vulnerability allows unauthenticated attacker with network access via HTTP to compromise Oracle Product Lifecycle Analytics.…
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While the vulnerability is in Oracle Product Lifecycle Analytics, attacks may significantly impact additional products (scope change). Successful attacks of this vulnerability can result in unauthorized access to critical data or complete access to all Oracle Product Lifecycle Analytics accessible data and unauthorized ability to cause a partial denial of service (partial DOS) of Oracle Product Lifecycle Analytics. CVSS 3.1 Base Score 9.3 (Confidentiality and Availability impacts). CVSS Vector: (CVSS:3.1/AV:N/AC:L/PR:N/UI:N/S:C/C:H/I:N/A:L).
- CWE(s)
Related Threats
MITRE ATT&CK Enterprise Techniques
CVEs Like This One
Affected Assets
Mitigating Controls
Control response
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- 13 hardening rules · 9 OS baselines
V10.4.9V11.7.1V14.1.2V14.2.4
Mitigating Controls (NIST 800-53 r5) AI
Access enforcement directly stops unauthorized actors from obtaining sensitive information.
Information flow enforcement structurally prevents sensitive data from reaching unauthorized recipients.
Directly mandates unique identification and authentication of users before access to functions requiring identity.
Extends the same authentication requirement to non-organizational users accessing critical functionality.
Requires authentication of services before they can invoke or expose critical functions.
Protection of information at rest prevents unauthorized exposure of stored sensitive data.
Mitigating Controls (NIST CSF 2.0) AI
Derived directly from the weakness types (CWEs) cited in the NVD entry via our AI-authored CWE→CSF cross-walk (authority under review) — links open the control.
Directly requires authentication of users/services/hardware, which eliminates missing authentication for critical functions.
PR.AA-05 directly enforces least-privilege authorization that blocks most unauthorized disclosures, yet CWE-200 also arises from logging, error messages, and side-channel paths that access controls alone do not address.
PR.DS-10 mostly prevents CWE-200 by directly eliminating unauthorized access to sensitive data-in-use, yet only partially addresses the weakness because CWE-200 spans many other exposure vectors outside runtime protection.
PR.IR-01's segmentation/zero-trust controls largely eliminate network-level unauthorized access paths that enable exposure, yet CWE-200 spans many additional vectors (API responses, logs, app logic) that network controls alone cannot close.
Secure SDLC practices catch most exposure flaws via design, testing and release controls, yet CWE-200 spans runtime/config issues a single development outcome cannot fully close.
PR.AA-01 supplies proper credential lifecycle controls that reduce unauthorized access paths, yet leaves many other exposure vectors (error messages, logging, side channels, etc.) unaddressed.
Mitigating Controls (ISO/IEC 27001:2022 Annex A) AI
Derived directly from the weakness types (CWEs) cited in the NVD entry via our AI-authored CWE→ISO cross-walk (authority under review) — links open the control.
Restricting anonymous or unknown access and encrypting high-value information limits the exposure of sensitive data that would otherwise be obtainable by unauthorized actors.
Suppressing system details, error specifics, and previous log-on information until successful authentication reduces the information an unauthenticated attacker can gather.
By requiring owners to assign sensitivity labels and corresponding handling rules, the control ensures that information is not left unmarked and therefore reduces the chance that sensitive data will be exposed to unauthorized actors.
Requiring encryption, access controls, and recipient authentication for transfers directly reduces the chance that sensitive data reaches an unauthorized observer.
Secure delivery, protected storage, and confidentiality of allocation records limit exposure of authentication material to unauthorized observers.
Requiring defined procedures, assigned roles, and technical/organizational measures for handling PII reduces the chance that sensitive personal data will be exposed to unauthorized actors through inadequate handling or missing safeguards.