TCW Strategic Income Fund, Inc.

Symbol

TSI

Price

$4.97

Market Cap

$237,493,438

Exchange

NYSE

Sector

Financial Services

Industry

Asset Management - Income

Dividend Yield

3.70%

Ex-Dividend Date

12-31-2024

Dividend Details


Ex-Dividend DateClose PriceAmountDividend YieldRecord DatePayment Date

12.31.2024

-

$0.205

4.12%

12.31.2024

01.10.2025

09.30.2024

$5.15

$0.06

1.17%

09.30.2024

10.11.2024

06.28.2024

$4.76

$0.06

1.26%

06.28.2024

07.12.2024

03.27.2024

$4.72

$0.06

1.27%

03.28.2024

04.12.2024

12.28.2023

$4.85

$0.175

3.61%

12.29.2023

01.12.2024

09.28.2023

$4.61

$0.06

1.30%

09.29.2023

10.13.2023

06.29.2023

$4.67

$0.06

1.28%

06.30.2023

07.14.2023

03.30.2023

$4.78

$0.06

1.26%

03.31.2023

04.14.2023

12.29.2022

$4.69

$0.234

4.99%

12.30.2022

01.13.2023

09.29.2022

$4.78

$0.06

1.26%

09.30.2022

10.14.2022

06.29.2022

$5

$0.055

1.10%

06.30.2022

07.08.2022

03.30.2022

$5.17

$0.055

1.06%

03.31.2022

04.08.2022

12.30.2021

$5.86

$0.202

3.45%

12.31.2021

01.14.2022

09.29.2021

$5.8

$0.055

0.95%

09.30.2021

10.08.2021

06.29.2021

$5.88

$0.055

0.94%

06.30.2021

07.09.2021

03.30.2021

$5.67

$0.055

0.97%

03.31.2021

04.09.2021

12.30.2020

$5.71

$0.038

0.67%

12.31.2020

01.08.2021

09.29.2020

$5.69

$0.065

1.14%

09.30.2020

10.09.2020

06.29.2020

-

$0.0906

1.82%

06.30.2020

07.10.2020

03.30.2020

-

$0.0813

1.64%

03.31.2020

04.13.2020

12.30.2019

-

$0.143

2.88%

12.31.2019

01.10.2020

09.27.2019

-

$0.0837

1.68%

09.30.2019

10.11.2019

06.27.2019

-

$0.0825

1.66%

06.28.2019

07.12.2019

03.28.2019

-

$0.0768

1.55%

03.29.2019

04.12.2019

12.28.2018

-

$0.159

3.20%

12.31.2018

01.11.2019

09.27.2018

-

$0.0774

1.56%

09.28.2018

10.12.2018

06.28.2018

-

$0.0698

1.40%

06.29.2018

07.13.2018

03.28.2018

-

$0.0665

1.34%

03.29.2018

04.13.2018

12.28.2017

-

$0.147

2.96%

12.29.2017

01.12.2018

09.28.2017

-

$0.0575

1.16%

09.29.2017

10.13.2017

06.28.2017

-

$0.055

1.11%

06.30.2017

07.14.2017

03.29.2017

-

$0.055

1.11%

03.31.2017

04.13.2017

12.28.2016

-

$0.125

2.52%

12.30.2016

01.13.2017

09.28.2016

-

$0.052

1.05%

09.30.2016

10.14.2016

06.28.2016

-

$0.052

1.05%

06.30.2016

07.15.2016

03.29.2016

-

$0.0487

0.98%

03.31.2016

04.15.2016

12.29.2015

-

$0.048

0.97%

12.31.2015

01.08.2016

09.28.2015

-

$0.0513

1.03%

09.30.2015

10.09.2015

06.26.2015

-

$0.0556

1.12%

06.30.2015

07.10.2015

04.01.2015

-

$0.0599

1.21%

04.06.2015

04.10.2015