TCW Strategic Income Fund, Inc. (NYSE: TSI) today announced a quarterly distribution of $0.205 per share payable to shareholders of record on December 31, 2024, with the payable date of January 10, 2025. The distribution represents a regular quarterly distribution of $0.06 and an additional special year-end distribution of $0.145 from net investment income. The distribution is based on a policy that was approved by the Board of Directors in December 2013 which was to pay distributions out of the...
TCW Strategic Income Fund, Inc. (NYSE: TSI) today announced a quarterly distribution of $0.0906 per share payable to shareholders of record on June 30, 2020, with the payable date of July 10, 2020. The distribution is based on a policy that was approved by the Board of Directors in December 2013 which was to pay distributions out of the Fund’s accumulated net investment income and/or other sources subject to the requirements of the Investment Company Act of 1940, as amended, and Sub-chapter M...
TCW Strategic Income Fund, Inc. (NYSE: TSI) today announced a quarterly distribution of $0.0813 per share payable to shareholders of record on March 31, 2020, with the payable date of April 13, 2020. The distribution is based on a policy that was approved by the Board of Directors in December 2013 which was to pay distributions out of the Fund’s accumulated net investment income and/or other sources subject to the requirements of the Investment Company Act of 1940, as amended, and Sub-chapter...
TCW Strategic Income Fund, Inc. (NYSE: TSI) today announced a year-end distribution of $0.1433 per share payable to shareholders of record on December 31, 2019, with the payable date of January 10, 2020. The distribution includes $0.1032 from net investment income, $0.0246 from short-term gain, and $0.0155 from long-term capital gain. The distribution is based on a policy that was approved by the Board of Directors in December 2013 which was to pay distributions out of the Fund’s accumulated...
TCW Strategic Income Fund, Inc. (NYSE: TSI) today announced a quarterly distribution of $0.0837 per share payable to shareholders of record on September 30, 2019, with the payable date of October 11, 2019. The distribution is based on a policy that was approved by the Board of Directors in December 2013 which was to pay distributions out of the Fund’s accumulated net investment income and/or other sources subject to the requirements of the Investment Company Act of 1940, as amended, and...