{"filing":{"accession_number":"0001193125-26-275278","cik":"0002026738","ticker":null,"company_name":"FORTRESS CREDIT REALTY INCOME TRUST","form":"8-K","filing_date":"2026-06-18","report_date":null,"primary_document":"ck0002026738-20260615.htm","primary_document_url":"https://www.sec.gov/Archives/edgar/data/2026738/000119312526275278/ck0002026738-20260615.htm"},"events":[{"id":11750,"run_id":10331,"accession_number":"0001193125-26-275278","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 May 31, 2026, broken down by share class, along with detailed components of NAV and month-over-month comparison to April 30, 2026. For a non-traded REIT, NAV per share is a critical valuation metric that directly affects investor pricing and redemption decisions. While this is a routine monthly NAV disclosure typical of non-traded REITs, it is material to investors assessing the registrant's value and performance. The event does not fit neatly into more specific categories (not earnings, not an impairment, not a going-concern issue), making \"other_material\" the most appropriate classification.","company_name":"FORTRESS CREDIT REALTY INCOME TRUST","ticker":null,"filing_date":"2026-06-18","form":"8-K","submitted_at":null,"items":[{"id":8415,"accession_number":"0001193125-26-275278","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 May 31, 2026, broken down by share class, along with detailed components of NAV and month-over-month comparison to April 30, 2026. For a non-traded REIT, NAV per share is a critical valuation metric that directly affects investor pricing and redemption decisions. While this is a routine monthly NAV disclosure typical of non-traded REITs, it is material to investors assessing the registrant's value and performance. The event does not fit neatly into more specific categories (not earnings, not an impairment, not a going-concern issue), making \"other_material\" the most appropriate classification.","classifier_version":"claude-haiku-4-5-20251001+prompt-9e0ffca5","taxonomy_version":"v1","classified_at":"2026-06-18T15:03:07.722420+00:00","company_name":"","ticker":null,"filing_date":""}]}],"classifications":[{"id":8415,"accession_number":"0001193125-26-275278","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 May 31, 2026, broken down by share class, along with detailed components of NAV and month-over-month comparison to April 30, 2026. For a non-traded REIT, NAV per share is a critical valuation metric that directly affects investor pricing and redemption decisions. While this is a routine monthly NAV disclosure typical of non-traded REITs, it is material to investors assessing the registrant's value and performance. The event does not fit neatly into more specific categories (not earnings, not an impairment, not a going-concern issue), making \"other_material\" the most appropriate classification.","classifier_version":"claude-haiku-4-5-20251001+prompt-9e0ffca5","taxonomy_version":"v1","classified_at":"2026-06-18T15:03:07.722420+00:00","company_name":"FORTRESS CREDIT REALTY INCOME TRUST","ticker":null,"filing_date":"2026-06-18"}]}
