Company: TSI
Filing Date: 2025-03-05
Form Type: N-CSR
Source: 0001193125-25-046168
Chunk: 1

Company: TCW STRATEGIC INCOME FUND INC
Filing Date: 2025-03-05
Form: N-CSR
Chunk 1
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 | Total Return as of December 31, 2024 (Annualized for periods over 1 Year) |       |     |        |      |     |        |      |     |         |      |     |                |      |     |                |      |
|:----------------------------------------------------------|:----|:--------------------------------------------------------------------------|------:|:----|:-------|-----:|:----|:-------|-----:|:----|:--------|-----:|:----|:---------------|-----:|:----|:---------------|-----:|
|                                                           |     | 1 Year                                                                    |       |     | 3 Year |      |     | 5 Year |      |     | 10 Year |      |     | Since3/1/06(1) |      |     | Since3/5/87(2) |      |
| Price-Based Return                                        |     |                                                                           | 13.33 |     |        | 1.34 |     |        | 3.13 |     |         | 5.19 |     |                | 8.44 |     |                | 7.62 |
| NAV-BasedReturn                                           |     |                                                                           |  7.34 |     |        | 2.86 |     |        | 3.86 |     |         | 4.27 |     |                | 7.51 |     |                | 7.81 |
| Bloomberg3-MonthU.S. Treasury Bellwethers Index + 400 bps |     |                                                                           |  9.48 |     |        | 8.12 |     |        | 6.60 |     |         | 5.86 |     |                | 5.66 |     |                |  n/a |

| (1) | The date on which the Fund’s investment objective changed to a multi-asset class fund. Prior to this date, the Fund primarily invested in convertible securities. |

| (2) | Inception date of the Fund. |

Past performance is no guarantee of future results. Current performance may be lower or higher than that quoted. The market value and net asset value of the Fund’s shares will fluctuate with market conditions. Returns shown do not reflect the deduction of taxes that a shareholder would pay on the Fund’s distributions. You should not draw any conclusions about the Fund’s performance from the amount of the quarterly distribution or from the terms of the Fund’s distribution policy.