{"url_path":"/sec/cik-0001930679/8-k/2026-05-21/item-8-01","section_key":"item-8-01","section_title":"Item 8.01 ****Other Events.**","topic":"sec","document":{"doc_type":"8-K","doc_date":"2026-05-21","source_url":"https://www.sec.gov/Archives/edgar/data/1930679/0001104659-26-065107-index.html","accession_number":"0001104659-26-065107","cik":"0001930679","ticker":null,"issuer_name":"KKR FS Income Trust","edgar_url":"https://www.sec.gov/Archives/edgar/data/1930679/0001104659-26-065107-index.html","primary_entity_key":"0001930679","primary_entity_name":"KKR FS Income Trust"},"word_count":128,"has_tables":true,"body_markdown":"**Item 8.01****Other Events.**\n\n** **\n\n**Net Asset Value**\n\n \n\nThe net asset value per\nshare of the Class I Shares as of April 30, 2026, as determined in accordance with the Company’s valuation policy, is $29.23.\n\n \n\nAs of April 30, 2026,\nthe Company’s aggregate net asset value was approximately $1.582 billion.\n\n \n\n**Status of Offering**\n\n \n\nThe\nCompany is currently conducting the Private Offering on a continuous basis for up to $5.0 billion in Shares. As of the date hereof, the\nCompany has issued an aggregate of 56,707,440.969 Class I Shares in the Private Offering for total consideration of approximately $1.667\nbillion. These figures do not include any Shares sold through the Company’s distribution reinvestment plan (if any). The Company\nintends to continue selling Shares in the Private Offering on a monthly basis."}