Company: TSI
Filing Date: 2025-10-06
Form Type: N-2/A
Source: 0001193125-25-232082
Chunk: 21

Company: TCW STRATEGIC INCOME FUND INC
Filing Date: 2025-10-06
Form: N-2/A
Chunk 21
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     |   |                       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           |     |                                        |   | -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 senior securities representing indebtedness. This asset coverage ratio