Company: TSI
Filing Date: 2025-10-06
Form Type: N-2/A
Source: 0001193125-25-232082
Chunk: 23

Company: TCW STRATEGIC INCOME FUND INC
Filing Date: 2025-10-06
Form: N-2/A
Chunk 23
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 and policies will take approximately thirty (30) days from the date on which the proceeds from an offering are received by the Fund. The Fund intends to use the proceeds of an offering to make investments consistent with its investment objective. However, the investment of the net proceeds may take up to three months from completion of the offer, depending on market conditions and the availability of appropriate securities. Pending such investment, it is anticipated that the net proceeds will be invested in fixed income securities and other permitted investments. See “The Offer,” “Investment Objective and Principal Strategies” and, in the SAI, “Investment Restrictions.” Pending such investment, it is anticipated that the net proceeds will be invested in fixed income securities and other permitted investments. See “Investment Objective and Principal Strategies.” DESCRIPTION OF COMMON STOCK The Fund is authorized to issue 75,000,000 shares of Common Stock. All shares of Common Stock have equal voting, dividend, distribution and liquidation rights. The shares of Common Stock outstanding are fully paid and non-assessable.Shares of Common Stock are not redeemable and have no preemptive rights, conversion rights, cumulative voting rights or appraisal rights. The number of shares of Common Stock outstanding as of September 19, 2025 was 47,785,440.273. The Fund’s shares of Common Stock are publicly held and are listed and traded on the NYSE. The following table sets forth for the fiscal quarters indicated the highest and lowest daily prices during the applicable quarter at the close of market on the NYSE per share of Common Stock along with (i) the highest and lowest closing NAV and (ii) the highest and lowest premium or discount from NAV represented by such prices at the close of the market on the NYSE. 17

| Quarter Ended (1)  |     | NYSE Market Price(1) 
 High                 |      |     | Low |      |     | NAV at NYSE 
 MarketPrice 
 High        |      |     | Low |      |     | Market                                              
 Premium/(Discount) toNAV on Date of NYSEMarketPrice 
 High                                                |        |    |     | Low |        |    |
|:-------------------|:----|:---------------------|-----:|:----|:----|-----:|:----|:------------|-----:|:----|:----|-----:|:----|:----------------------------------------------------|:-------|:---|:----|:----|:-------|:---|
| June