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TCW Strategic Income Fund Announces Monthly Distribution

Business Wire•06/10/2026•16:15 ET
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Key Highlights

  • ➤TSI declares $0.0283-per-share October distribution
  • ➤Payment scheduled October 30, 2026, for shareholders of record October 16
  • ➤TSI reports approximately $302 million in net assets

The closed-end fund declared its October 2026 monthly distribution

The TCW Group, a leading global investment firm, announced today that the TCW Strategic Income Fund, Inc. (NYSE: TSI) has declared a monthly distribution of $0.0283 per share payable on October 30, 2026, to shareholders of record on October 16, 2026.

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