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On March 16, 2026, Fortress Credit Realty Income Trust reported net asset value per share for each outstanding class of common shares as of February 28, 2026, including Class B at $20.0304 and Class J-4 at $20.1115. Total NAV was $1,291,064 thousand across 64,581 shares, with major components including commercial real estate loan investments of $2,404,937 thousand.
Event Type
Disclosure
Voluntary
Variant
8-K
Other Events. February 28, 2026 NAV Per Share On March 16, 2026, Fortress Credit Realty Income Trust (the “Company” or “we”) reported net asset value (“NAV”) pe