Fortress Credit Realty Income Trust

11/19/2025 | Press release | Distributed by Public on 11/19/2025 13:47

Material Event (Form 8-K)

Item 8.01 Other Events.

October 31, 2025 NAV Per Share

On November 14, 2025, Fortress Credit Realty Income Trust (the "Company" or "we") reported net asset value ("NAV") per share for each outstanding class of common shares of the Company as of October 31, 2025, which is set forth below:

NAV per Share

Class B

$

20.0772

Class R

$

19.9368

Class J-1

$

19.9431

Class J-2

$

19.9277

Class J-4

$

20.1649

Class S

$

20.1441

Class I

$

20.1421

Class E

$

20.0544

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 B, Class R, Class J-1, Class J-2, Class J-4, Class S, Class I and Class E common shares. The following table provides a breakdown of the major components of our NAV as of October 31, 2025 (amounts in thousands):

Components of NAV

Amount

Commercial real estate loan investments

$

1,778,379

Investments in real estate-related assets

331,268

Cash and cash equivalents

173,118

Restricted cash

114,364

Other assets

18,386

Secured debt arrangements

(934,424

)

Subscriptions received in advance

(43,218

)

Revolving credit facilities

(177,942

)

Distribution payable

(7,467

)

Due to affiliate

(3,030

)

Other liabilities

(49,764

)

Non-controlling interests

(25,739

)

Net Asset Value

$

1,173,931

Number of outstanding shares

58,597

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

Net Asset Value

Number of Outstanding Shares

NAV per Share
as of October 31, 2025

Class B

$

485,157

24,166

$

20.0772

Class R

88,897

4,459

$

19.9368

Class J-1

314,249

15,757

$

19.9431

Class J-2

66,587

3,341

$

19.9277

Class J-4

93,474

4,635

$

20.1649

Class S

17,101

849

$

20.1441

Class I

82,550

4,098

$

20.1421

Class E

25,916

1,292

$

20.0544

Total

$

1,173,931

58,597

The following table provides a breakdown of the major components of NAV as of September 30, 2025 (amounts in thousands):

Components of NAV

Amount

Commercial real estate loan investments

$

1,703,977

Investments in real estate-related assets

349,392

Cash and cash equivalents

196,618

Restricted cash

110,396

Other assets

18,792

Secured debt arrangements

(924,098

)

Subscriptions received in advance

(36,656

)

Revolving credit facilities

(190,432

)

Distribution Payable

(7,092

)

Due to affiliate

(3,862

)

Other liabilities

(51,969

)

Non-controlling interests

(24,682

)

Net Asset Value

$

1,140,384

Number of outstanding shares

56,839

The following table provides a breakdown of our total NAV and NAV per share by class as of September 30, 2025 (amounts in thousands, except per share data):

Net Asset Value

Number of Outstanding Shares

NAV per Share
as of September 30, 2025

Class B

$

469,231

23,334

$

20.1084

Class R

88,906

4,452

$

19.9705

Class J-1

313,729

15,705

$

19.9767

Class J-2

66,406

3,327

$

19.9613

Class J-4

84,566

4,188

$

20.1924

Class S

15,676

777

$

20.1722

Class I

75,986

3,767

$

20.1707

Class E

25,884

1,289

$

20.0869

Total

$

1,140,384

56,839

Fortress Credit Realty Income Trust published this content on November 19, 2025, and is solely responsible for the information contained herein. Distributed via EDGAR on November 19, 2025 at 19:47 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]