---
schema_version: "secwatch.filing_event.v1"
accession: "0001193125-26-239582"
form_type: "8-K"
ticker: null
cik: "0002012139"
company_name: "Fortress Private Lending Fund"
filed_at: "2026-05-26T21:00:17+00:00"
generated_at: "2026-05-26T21:05:03.083975+00:00"
event_type: "other_material"
sentiment: "neutral"
materiality_score: 0.5
confidence: "high"
source: SEC EDGAR
---

# Fortress Private Lending Fund reports $1.1B NAV; declares $0.1812 May distribution

## Summary
- Sold 431,701 Class I shares for $10.4M in May 2026 at NAV of $24.16 per share.
- Aggregate NAV ~$1.1B; portfolio fair value ~$1.8B; debt outstanding ~$763.8M as of April 30, 2026.
- May 2026 distribution of $0.1812/Class I share payable June 23 to holders of record May 31.
- Portfolio: 98% first lien, 99.9% floating rate; weighted avg yield 9.8% at fair market value.
- Total shares outstanding 44,038,937; no public market for shares.

## SEC filing metadata
- accession: 0001193125-26-239582
- form_type: 8-K
- cik: 0002012139
- company_name: Fortress Private Lending Fund
- filed_at: 2026-05-26T21:00:17+00:00
- event_type: other_material
- sentiment: neutral
- materiality_score: 0.5
- confidence: high
- sec_items: 3.02, 8.01
- EDGAR index: https://www.sec.gov/Archives/edgar/data/2012139/000119312526239582/0001193125-26-239582-index.htm
- EDGAR primary document: https://www.sec.gov/Archives/edgar/data/2012139/000119312526239582/ck0002012139-20260521.htm

## Machine-readable alternates
- HTML: https://secwatch.observer/filing/0001193125-26-239582
- JSON: https://secwatch.observer/filing/0001193125-26-239582.json
- Plain text: https://secwatch.observer/filing/0001193125-26-239582.txt

This AI-assisted summary is a reading aid. Review the linked SEC EDGAR filing before relying on any specific claim.
