Company: TSI
Filing Date: 2025-12-18
Form Type: N-2/A
Source: 0001193125-25-324429
Chunk: 21

Company: TCW STRATEGIC INCOME FUND INC
Filing Date: 2025-12-18
Form: N-2/A
Chunk 21
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04 | %  |     |   |                       5.67 | % |     |   |                       4.90 | %  |     |   |                       5.38 | % |     |   |                       5.07 | % |

15

|                                   |     | Six MonthsEndedJune 30,2025(Unaudited) |        |    |     | Year EndedDecember 31,2024 |        |   |     | Year EndedDecember 31,2023 |        |   |     | Year EndedDecember 31,2022 |        |   |     | Year EndedDecember 31,2021 |        |   |     | Year EndedDecember 31,2020 |       |   |
| Portfolio Turnover Rate           |     |                                        | 113.64 | -3 |     |                            | 256.45 | % |     |                            | 234.87 | % |     |                            | 155.62 | % |     |                            | 178.02 | % |     |                            | 72.59 | % |
| Asset Coverage Ratio Per Share(6) |     |                                        |      — |    |     |                            |      — |   |     |                            |      — |   |     |                            |      — |   |     |                            |      — |   |     |                            |     — |   |
| Total Debt Outstanding            |     |                                        |      — |    |     |                            |      — |   |     |                            |      — |   |     |                            |      — |   |     |                            |      — |   |     |                            |     — |   |

| (1) | Computed using average shares outstanding throughout the period. |

| (2) | Based on net asset value per share, adjusted for reinvestment of distributions. The Fund does not incur charges to investors for purchasing or selling shares. |

| (3) | For the six months ended June 30, 2025 and not indicative of a full year’s result. |

| (4) | Based on market price per share, adjusted for reinvestment of distributions. The Fund does not incur charges to investors for purchasing or selling shares. |

| (5) | Annualized. |

| (6) | The asset coverage ratio for a class of senior securities representing indebtedness is calculated as total assets, less all liabilities and indebtedness not represented by senior securities, divided by