other material
confidence high
sentiment neutral
materiality 0.40
Fortress Credit Realty Income Trust reports May 31 NAV per share; total NAV $1.365B
FORTRESS CREDIT REALTY INCOME TRUST
- Total NAV of $1.365B as of May 31, 2026, up from $1.340B on April 30.
- Outstanding shares increased to 68,352k from 67,104k.
- NAV per share ranges from $19.8520 (Class J-2) to $20.0940 (Class J-4).
- Class B NAV per share slightly decreased to $20.0097 from $20.0101.
- New classes F-I and F-S had zero shares in April; now 24 and 72 shares respectively.