{"filing":{"accession_number":"0001193125-26-232321","cik":"0002026738","ticker":null,"company_name":"FORTRESS CREDIT REALTY INCOME TRUST","form":"8-K","filing_date":"2026-05-20","report_date":null,"primary_document":"ck0002026738-20260515.htm","primary_document_url":"https://www.sec.gov/Archives/edgar/data/2026738/000119312526232321/ck0002026738-20260515.htm"},"events":[{"id":9785,"run_id":8579,"accession_number":"0001193125-26-232321","anchor_item_number":"8.01","event_type":"other_material","event_domain":"catchall","is_material":true,"confidence":0.75,"summary":"This disclosure reports the Company's Net Asset Value (NAV) per share as of April 30, 2026, broken down by share class, along with a detailed calculation of total NAV and its components. For a non-traded REIT like Fortress Credit Realty Income Trust, NAV per share is a critical valuation metric that directly informs investor pricing and redemption decisions. While this is a routine periodic disclosure for REITs, it is material to investors assessing the registrant's asset value and performance. The filing does not fit neatly into more specific event categories (not earnings, not M\u0026A, not impairment, etc.), making \"other_material\" the most appropriate classification.","company_name":"FORTRESS CREDIT REALTY INCOME TRUST","ticker":null,"filing_date":"2026-05-20","form":"8-K","submitted_at":null,"items":[{"id":583,"accession_number":"0001193125-26-232321","item_number":"8.01","item_title":"Other Events.","event_type":"other_material","event_domain":"catchall","is_material":true,"confidence":0.75,"reasoning":"This disclosure reports the Company's Net Asset Value (NAV) per share as of April 30, 2026, broken down by share class, along with a detailed calculation of total NAV and its components. For a non-traded REIT like Fortress Credit Realty Income Trust, NAV per share is a critical valuation metric that directly informs investor pricing and redemption decisions. While this is a routine periodic disclosure for REITs, it is material to investors assessing the registrant's asset value and performance. The filing does not fit neatly into more specific event categories (not earnings, not M\u0026A, not impairment, etc.), making \"other_material\" the most appropriate classification.","classifier_version":"claude-haiku-4-5-20251001+prompt-9e0ffca5","taxonomy_version":"v1","classified_at":"2026-05-21T02:46:19.325032+00:00","company_name":"","ticker":null,"filing_date":""}]}],"classifications":[{"id":583,"accession_number":"0001193125-26-232321","item_number":"8.01","item_title":"Other Events.","event_type":"other_material","event_domain":"catchall","is_material":true,"confidence":0.75,"reasoning":"This disclosure reports the Company's Net Asset Value (NAV) per share as of April 30, 2026, broken down by share class, along with a detailed calculation of total NAV and its components. For a non-traded REIT like Fortress Credit Realty Income Trust, NAV per share is a critical valuation metric that directly informs investor pricing and redemption decisions. While this is a routine periodic disclosure for REITs, it is material to investors assessing the registrant's asset value and performance. The filing does not fit neatly into more specific event categories (not earnings, not M\u0026A, not impairment, etc.), making \"other_material\" the most appropriate classification.","classifier_version":"claude-haiku-4-5-20251001+prompt-9e0ffca5","taxonomy_version":"v1","classified_at":"2026-05-21T02:46:19.325032+00:00","company_name":"FORTRESS CREDIT REALTY INCOME TRUST","ticker":null,"filing_date":"2026-05-20"}]}
