Company: TSI
Filing Date: 2025-12-18
Form Type: N-2/A
Source: 0001193125-25-324429
Chunk: 135

Company: TCW STRATEGIC INCOME FUND INC
Filing Date: 2025-12-18
Form: N-2/A
Chunk 135
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 the Fund’s net asset value per share on the payment date or 95% of the closing 70

market price of Fund shares on the payment date. Generally, for tax purposes, stockholders participating in the Plan will be treated as having received a distribution from the Fund in cash equal to the value of the shares purchased from them under the Plan. To enroll in the Plan, if your shares are registered in your name, write to Computershare, P.O. Box 43078, Providence, RI 02940, or call toll free at (866) 227-8179. Ifyour shares are held by a brokerage firm, please call your broker. If you participate in the Plan through a broker, you may not be able to transfer your shares to another broker and continue to participate in the Plan if your new broker does not permit such participation. If you no longer want to participate in the Plan, please contact Computershare or your broker. You may elect to continue to hold shares previously purchased on your behalf or to sell your shares and receive the proceeds, net of any brokerage commissions. If you need additional information or assistance, please call the Fund’s investor relations department at (877) 829-4768 orvisit the Fund’s website at www.TCW.com. As always, the Fund would be pleased to accommodate your investment needs. DESCRIPTION OF CAPITAL STRUCTURE The following is a brief description of the capital structure of the Fund. This description does not purport to be complete and is subject to and qualified in its entirety by reference to the charter, as amended (the “Charter”). The Fund was incorporated under the laws of the State of Maryland on January 13, 1987 and is authorized to issue 75,000,000 shares of Common Stock.

The following table shows the amount of shares of Common Stock authorized and outstanding as of December 8, 2025.

| Title of Class        |     | Amount Authorized |            |     | AmountOutstanding |                |
| Shares ofCommon Stock |     |                   | 75,000,000 |     |                   | 47,785,440.273 |

The Fund’s shares are listed and trade on the NYSE under the trading or “ticker” symbol “TSI.” As of the close of trading on the NYSE on December 8, 2025, the NAV per share of Common Stock was $5.23, and the closing price per share of Common Stock on the NYSE was $4.91.