TCW Private Asset Income Fund

  • Summary

    Seeks to provide attractive risk-adjusted returns and produce current income by primarily allocating its assets across a wide range of private credit strategies, with a focus on asset-backed credit strategies.
  • Category

    Income

    Type of fund

  • Asset Class

    Private Credit

    Focus of this fund

  • Fund Type

    Interval

    Structure of this fund

  • Treeview Rating

    StarStarStar

    Our overall rating of this fund

  • Treeview Risk Rating

    Medium-Low

    Our determination of this fund's risk

  • Fund Research

    Open Fund Website

    Information published by fund manager

  • Performance - Last Year

    8.0%

    Most recent four quarters

  • Performance - Last 2 Years

    5.0%

    Annualized over 24 months

  • Performance - Last 3 Years

    N/A

    Annualized over 36 months

  • Treeview Minimum

    5000

    Minimum investment as a Treeview Capital client

  • Fund Minimum

    1000000

    Minimum investment without using an advisor

  • Investor Level

    Any

    Minimum required investor sophistication

  • Treeview Fee Discount

    1.91

    Annual fund expenses as a Treeview Capital client

  • Fund Fees

    2.66

    Annual fund expenses without using an advisor

  • Commission

    24

    Fee payable to Schwab to buy and sell

  • Next Redemption Date

    July 24, 2026

    Approximate date when fund can next be sold

  • Inception Date

    April 1, 2025

    Date fund was launched

  • Ticker Symbol

    TPYTX

    How to identify this interval fund

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Important Information: Performance figures are updated quarterly and sourced from third-party providers. Returns for the 2 year and 3 year periods are annualized to reflect average yearly growth. Performance is net of the Treeview Capital investment advisory fee. Past performance is not a guarantee of future results and all investments involve risk of loss.