Tcw Strategic Income Fund Inc TSI
We take great care to ensure that the data presented and summarized in this overview for TCW STRATEGIC INCOME FUND INC is accurate and up-to-date, based on a comprehensive analysis of 13F filing forms for institutional ownership and form 4 filings for insider transactions. Please note that this data may differ from other sources and should not be relied upon as the sole basis for investment decisions.
Top Institutions Holding TSI
View all-
Sit Investment Associates Inc Minneapolis, MN6.86MShares$34.5 Million0.79% of portfolio
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Kovitz Investment Group Partners, LLC2.03MShares$10.2 Million0.07% of portfolio
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1607 Capital Partners, LLC Richmond, VA1.84MShares$9.26 Million0.86% of portfolio
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Morgan Stanley New York, NY1.11MShares$5.59 Million0.0% of portfolio
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Northside Capital Management, LLC1.1MShares$5.54 Million0.89% of portfolio
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Ameriprise Financial Inc Minneapolis, MN872KShares$4.38 Million0.0% of portfolio
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Raymond James & Associates St Petersburg, FL862KShares$4.34 Million0.0% of portfolio
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Sea Bridge Investment Advisors LLC528KShares$2.66 Million0.68% of portfolio
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Invesco Ltd. Atlanta, GA391KShares$1.97 Million0.0% of portfolio
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Wells Fargo & Company San Francisco, CA240KShares$1.21 Million0.0% of portfolio
Latest Institutional Activity in TSI
Top Purchases
Top Sells
About TSI
TCW Strategic Income Fund, Inc. is a close-ended balanced mutual fund launched by The TCW Group, Inc. The fund is managed by TCW Investment Management Company. It invests in the public equity and fixed income markets of the United States. The fund makes its investments in securities of companies operating across diversified sectors. For its equity investments, it seeks to invest in growth and value stocks of companies. The fund's fixed income investments are comprised of mortgage related securities, asset-backed securities, money market securities, convertible securities, high yield bonds, collateralized debt obligations (CDOs), and securities issued or guaranteed by the United States Government, its agencies and instrumentalities. It benchmarks the performance of its portfolio against the S&P 500 Index, NASDAQ, and a customized benchmark comprised of Barclays U.S. Aggregate Bond Index, Citigroup High Yield Cash Pay Index, S&P 500 Index, and BofA Merrill Lynch All Convertibles All Qualities. The fund was previously known as TCW Convertible Securities Fund, Inc. TCW Strategic Income Fund, Inc. was formed on January 13, 1987 and is domiciled in the United States.
Insider Transactions at TSI
Insider Transaction List
View allDate | Insider | Transaction | Ownership Type | Shares Traded | Value / Price |
---|---|---|---|---|---|
Nov 11
2024
|
Andrew Tarica |
SELL
Open market or private sale
|
Indirect |
10,799
-100.0%
|
$53,995
$5.08 P/Share
|
Nov 07
2024
|
Andrew Tarica |
SELL
Open market or private sale
|
Indirect |
1,500
-24.85%
|
$7,500
$5.1 P/Share
|
Nov 05
2024
|
Andrew Tarica |
SELL
Open market or private sale
|
Indirect |
12,299
-100.0%
|
$61,495
$5.04 P/Share
|
Jul 13
2023
|
Mitch Flack PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Indirect |
46,300
-53.39%
|
$185,200
$4.65 P/Share
|
Apr 26
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
7,631
-14.95%
|
$30,524
$4.7 P/Share
|
Apr 24
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
3,165
-5.84%
|
$12,660
$4.71 P/Share
|
Apr 21
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
8,000
-12.86%
|
$32,000
$4.71 P/Share
|
Apr 20
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
3,915
-2.99%
|
$15,660
$4.71 P/Share
|
Apr 19
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
15,000
-9.68%
|
$60,000
$4.71 P/Share
|
Apr 18
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
15,000
-8.11%
|
$60,000
$4.72 P/Share
|
Apr 17
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
30,468
-12.77%
|
$121,872
$4.7 P/Share
|
Apr 14
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
54,529
-16.21%
|
$218,116
$4.72 P/Share
|
Apr 13
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
61,470
-13.21%
|
$245,880
$4.71 P/Share
|
Apr 12
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
30,854
-5.74%
|
$123,416
$4.76 P/Share
|
Apr 11
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
50,000
-15.46%
|
$200,000
$4.75 P/Share
|
Apr 06
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
3,905
-1.19%
|
$15,620
$4.7 P/Share
|
Apr 05
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
8,500
-2.53%
|
$34,000
$4.7 P/Share
|
Apr 04
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
40,000
-10.64%
|
$160,000
$4.71 P/Share
|
Apr 03
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
10,567
-2.73%
|
$42,268
$4.7 P/Share
|
Mar 31
2023
|
Laird Landmann PORTFOLIO MANAGER |
SELL
Open market or private sale
|
Direct |
58,900
-6.73%
|
$235,600
$4.7 P/Share
|
Last 12 Months Summary
Open market or private sale | 24.6K shares |
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