TCW Strategic Income Fund Announces Monthly Distribution

The closed-end fund declared its June 2026 monthly distribution

The TCW Group, a leading global investment firm, announced today that the TCW Strategic Income Fund, Inc. (NYSE: TSI) has declared a monthly distribution of $0.0283 per share payable on June 30, 2026, to shareholders of record on June 15, 2026.

Distributions are based on the Fund’s accumulated net investment income and/or other sources for the applicable month.

The Directors continue to monitor conditions and circumstances relating to the distribution of dividends and make such changes as they, in consultation with the Fund’s portfolio managers, deem appropriate. Distribution policy is a matter of Board discretion and may be modified or terminated at any time without prior notice.