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 Date | Amount | Dividend Yield | Payment Date |
|---|---|---|---|
12.31.2024 | $0.205 | 4.12% | 01.10.2025 |
09.30.2024 | $0.06 | 1.17% | 10.11.2024 |
06.28.2024 | $0.06 | 1.26% | 07.12.2024 |
03.27.2024 | $0.06 | 1.27% | 04.12.2024 |
12.28.2023 | $0.175 | 3.61% | 01.12.2024 |
09.28.2023 | $0.06 | 1.30% | 10.13.2023 |
06.29.2023 | $0.06 | 1.28% | 07.14.2023 |
03.30.2023 | $0.06 | 1.26% | 04.14.2023 |
12.29.2022 | $0.234 | 4.99% | 01.13.2023 |
09.29.2022 | $0.06 | 1.26% | 10.14.2022 |
06.29.2022 | $0.055 | 1.10% | 07.08.2022 |
03.30.2022 | $0.055 | 1.06% | 04.08.2022 |
12.30.2021 | $0.202 | 3.45% | 01.14.2022 |
09.29.2021 | $0.055 | 0.95% | 10.08.2021 |
06.29.2021 | $0.055 | 0.94% | 07.09.2021 |
03.30.2021 | $0.055 | 0.97% | 04.09.2021 |
12.30.2020 | $0.038 | 0.67% | 01.08.2021 |
09.29.2020 | $0.065 | 1.14% | 10.09.2020 |
06.29.2020 | $0.0906 | 1.82% | 07.10.2020 |
03.30.2020 | $0.0813 | 1.64% | 04.13.2020 |
12.30.2019 | $0.143 | 2.88% | 01.10.2020 |
09.27.2019 | $0.0837 | 1.68% | 10.11.2019 |
06.27.2019 | $0.0825 | 1.66% | 07.12.2019 |
03.28.2019 | $0.0768 | 1.55% | 04.12.2019 |
12.28.2018 | $0.159 | 3.20% | 01.11.2019 |
09.27.2018 | $0.0774 | 1.56% | 10.12.2018 |
06.28.2018 | $0.0698 | 1.40% | 07.13.2018 |
03.28.2018 | $0.0665 | 1.34% | 04.13.2018 |
12.28.2017 | $0.147 | 2.96% | 01.12.2018 |
09.28.2017 | $0.0575 | 1.16% | 10.13.2017 |
06.28.2017 | $0.055 | 1.11% | 07.14.2017 |
03.29.2017 | $0.055 | 1.11% | 04.13.2017 |
12.28.2016 | $0.125 | 2.52% | 01.13.2017 |
09.28.2016 | $0.052 | 1.05% | 10.14.2016 |
06.28.2016 | $0.052 | 1.05% | 07.15.2016 |
03.29.2016 | $0.0487 | 0.98% | 04.15.2016 |
12.29.2015 | $0.048 | 0.97% | 01.08.2016 |
09.28.2015 | $0.0513 | 1.03% | 10.09.2015 |
06.26.2015 | $0.0556 | 1.12% | 07.10.2015 |
04.01.2015 | $0.0599 | 1.21% | 04.10.2015 |