Fortress Net Lease REIT

09/19/2025 | Press release | Archived content

Material Event (Form 8-K)

Item 8.01 Other Events.

August 31, 2025 NAV Per Share

On September 15, 2025, Fortress Net Lease REIT (the "Company" or "we") the Company reported net asset value ("NAV") per share for each outstanding class of common shares of the Company as of August 31, 2025, which is set forth below:

NAV per Share

Class I

$

10.2778

Class F-S

$

10.2733

Class F-I

$

10.3298

Class D-S

$

10.5224

Class E

$

10.5852

Net Asset Value

A detailed calculation of the NAV per share is set forth below. We calculate NAV per share in accordance with the valuation guidelines that have been approved by our board of trustees. Our total NAV presented in the following tables includes the NAV of our outstanding classes of common shares, which includes Class I, Class F-S, Class F-I, Class D-S and Class E common shares, as well as the partnership interests ("OP Units") of FNLR OP LP (the "Operating Partnership"), if any, held by parties other than the Company.

The following table provides a breakdown of the major components of our NAV as of August 31, 2025 (amounts in thousands):

Components of NAV

Amount

Investments in real estate

$

2,096,408

Intangible assets

326,590

Cash and cash equivalents

5,997

Restricted cash

55,458

Other assets

18,955

Revolving credit facility

(925,500

)

Term loan

(225,630

)

Subscriptions received in advance

(52,566

)

Distribution payable

(7,481

)

Due to affiliate

(7,398

)

Other liabilities

(18,594

)

Net Asset Value

$

1,266,239

Number of outstanding shares/units

121,907

The following table provides a breakdown of our total NAV and NAV per share/unit by class as of August 31, 2025 (amounts in thousands, except per share unit data):

Net Asset Value

Number of Outstanding Shares/Units

NAV per Share/Unit as of August 31, 2025

Class I

$

70,999

6,908

$

10.2778

Class F-S

135,528

13,192

$

10.2733

Class F-I

632,920

61,272

$

10.3298

Class D-S

394,099

37,453

$

10.5224

Class E

26,383

2,492

$

10.5852

OP Units(1)

6,310

590

$

10.6989

Total

$

1,266,239

121,907

(1)
Includes the Class A OP Units held by FNLR Management LLC (the "Adviser").

The following table provides a breakdown of the major components of our NAV as of July 31, 2025 (amounts in thousands):

Components of NAV

Amount

Investments in real estate

$

1,729,019

Intangible assets

261,192

Cash and cash equivalents

10,954

Restricted cash

37,353

Other assets

20,092

Revolving credit facility

(537,000

)

Term loan

(225,604

)

Subscriptions received in advance

(34,571

)

Distribution payable

(7,016

)

Due to affiliate

(7,752

)

Other liabilities

(15,444

)

Net Asset Value

$

1,231,223

Number of outstanding shares/units

118,877

The following table provides a breakdown of our total NAV and NAV per share/unit by class as of July 31, 2025 (amounts in thousands, except per share/unit data):

Net Asset Value

Number of Outstanding Shares/Units

NAV per Share/Unit as of July 31, 2025

Class I

$

62,885

6,133

$

10.2544

Class F-S

122,786

11,982

$

10.2474

Class F-I

622,130

60,391

$

10.3017

Class D-S

391,912

37,388

$

10.4822

Class E

26,268

2,491

$

10.5441

OP Units(1)

5,242

492

$

10.6566

Total

$

1,231,223

118,877

(1)
Includes the Class A OP Units held by FNLR Management LLC (the "Adviser").
Fortress Net Lease REIT published this content on September 19, 2025, and is solely responsible for the information contained herein. Distributed via SEC EDGAR on September 23, 2025 at 15:06 UTC. If you believe the information included in the content is inaccurate or outdated and requires editing or removal, please contact us at [email protected]