TGMN

TCW Securitized Bond Fund Class N (TGMNX)

Market Closed
15 Dec, 20:00
NASDAQ NASDAQ
$
8. 09
+0.02
+0.25%
$
1.78B Market Cap
0.16% Div Yield
0 Volume
$ 8.07
Previous Close
Day Range
8.09 8.09
Year Range
7.84 8.22
Want to track TGMNX and more in your Portfolio? 🎯
Sign up for Marketlog, a portfolio tracker that will exceed your expectations!
Name Dividend Payment Date Record Date Declaration Date
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Nov 2025
$0.04
28 Nov 2025
26 Nov 2025
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2025
$0.04
3 Nov 2025
30 Oct 2025
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2025
$0.04
30 Sep 2025
29 Sep 2025
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Aug 2025
$0.04
29 Aug 2025
28 Aug 2025
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2025
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 May 2025
$0.05
30 May 2025
29 May 2025
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2025
$0.05
30 Apr 2025
29 Apr 2025
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2025
$0.05
31 Mar 2025
28 Mar 2025
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2025
$0.05
28 Feb 2025
27 Feb 2025
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2025
$0.05
31 Jan 2025
30 Jan 2025
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
27 Dec 2024
$0.04
27 Dec 2024
26 Dec 2024
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Nov 2024
$0.04
29 Nov 2024
27 Nov 2024
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2024
$0.04
1 Nov 2024
30 Oct 2024
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2024
$0.04
30 Sep 2024
27 Sep 2024
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Aug 2024
$0.04
30 Aug 2024
29 Aug 2024
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2024
$0.04
31 Jul 2024
30 Jul 2024
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Jun 2024
$0.04
28 Jun 2024
27 Jun 2024
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2024
$0.04
31 May 2024
30 May 2024
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2024
$0.04
30 Apr 2024
29 Apr 2024
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Mar 2024
$0.04
28 Mar 2024
27 Mar 2024
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Feb 2024
$0.04
29 Feb 2024
28 Feb 2024
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2024
$0.04
31 Jan 2024
30 Jan 2024
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
27 Dec 2023
$0.06
27 Dec 2023
26 Dec 2023
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2023
$0.04
30 Nov 2023
29 Nov 2023
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2023
$0.04
31 Oct 2023
30 Oct 2023
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Sep 2023
$0.04
29 Sep 2023
28 Sep 2023
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2023
$0.04
31 Aug 2023
30 Aug 2023
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2023
$0.04
31 Jul 2023
28 Jul 2023
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2023
$0.04
30 Jun 2023
29 Jun 2023
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2023
$0.04
31 May 2023
30 May 2023
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Apr 2023
$0.04
28 Apr 2023
27 Apr 2023
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2023
$0.04
31 Mar 2023
30 Mar 2023
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2023
$0.04
28 Feb 2023
27 Feb 2023
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2023
$0.04
31 Jan 2023
30 Jan 2023
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Dec 2022
$0.05
29 Dec 2022
28 Dec 2022
29 Dec 2022
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Dec 2022
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2022
$0.02
30 Nov 2022
29 Nov 2022
30 Nov 2022
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2022
$0.02
31 Oct 2022
28 Oct 2022
31 Oct 2022
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2022
$0.02
30 Sep 2022
29 Sep 2022
30 Sep 2022
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2022
$0.02
31 Aug 2022
30 Aug 2022
31 Aug 2022
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Jul 2022
$0.02
29 Jul 2022
28 Jul 2022
29 Jul 2022
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2022
$0.02
30 Jun 2022
29 Jun 2022
30 Jun 2022
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2022
$0.02
31 May 2022
27 May 2022
31 May 2022
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Apr 2022
$0.02
29 Apr 2022
28 Apr 2022
29 Apr 2022
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2022
$0.02
31 Mar 2022
30 Mar 2022
31 Mar 2022
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2022
$0.02
28 Feb 2022
25 Feb 2022
28 Feb 2022
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2022
$0.02
31 Jan 2022
28 Jan 2022
31 Jan 2022
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Dec 2021
$0.02
29 Dec 2021
28 Dec 2021
29 Dec 2021
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2021
$0.02
30 Nov 2021
29 Nov 2021
29 Nov 2021
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Oct 2021
$0.02
29 Oct 2021
28 Oct 2021
29 Oct 2021
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2021
$0.02
30 Sep 2021
29 Sep 2021
30 Sep 2021
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2021
$0.02
31 Aug 2021
30 Aug 2021
31 Aug 2021
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jul 2021
$0.02
30 Jul 2021
29 Jul 2021
30 Jul 2021
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2021
$0.02
30 Jun 2021
29 Jun 2021
29 Jun 2021
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 May 2021
$0.02
28 May 2021
27 May 2021
27 May 2021
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2021
$0.02
30 Apr 2021
29 Apr 2021
29 Apr 2021
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2021
$0.02
31 Mar 2021
30 Mar 2021
30 Mar 2021
TGMN
TGMNX TCW Securitized Bond Fund Class N
26 Feb 2021
$0.02
26 Feb 2021
25 Feb 2021
25 Feb 2021
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Jan 2021
$0.02
29 Jan 2021
28 Jan 2021
28 Jan 2021
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Dec 2020
$0.08
29 Dec 2020
28 Dec 2020
29 Dec 2020
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2020
$0.01
30 Nov 2020
27 Nov 2020
27 Nov 2020
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Oct 2020
$0.02
2 Nov 2020
29 Oct 2020
29 Oct 2020
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2020
$0.02
30 Sep 2020
29 Sep 2020
29 Sep 2020
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2020
$0.02
31 Aug 2020
28 Aug 2020
28 Aug 2020
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2020
$0.02
31 Jul 2020
30 Jul 2020
30 Jul 2020
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2020
$0.02
30 Jun 2020
29 Jun 2020
29 Jun 2020
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 May 2020
$0.02
29 May 2020
28 May 2020
28 May 2020
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2020
$0.02
30 Apr 2020
29 Apr 2020
29 Apr 2020
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2020
$0.03
31 Mar 2020
30 Mar 2020
30 Mar 2020
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2020
$0.03
28 Feb 2020
27 Feb 2020
27 Feb 2020
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2020
$0.03
31 Jan 2020
30 Jan 2020
30 Jan 2020
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Dec 2019
$0.03
31 Dec 2019
30 Dec 2019
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
27 Dec 2019
$0.03
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Nov 2019
$0.03
29 Nov 2019
27 Nov 2019
27 Nov 2019
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2019
$0.03
1 Nov 2019
30 Oct 2019
30 Oct 2019
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2019
$0.03
30 Sep 2019
27 Sep 2019
27 Sep 2019
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Aug 2019
$0.05
30 Aug 2019
29 Aug 2019
29 Aug 2019
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2019
$0.05
31 Jul 2019
30 Jul 2019
30 Jul 2019
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Jun 2019
$0.03
28 Jun 2019
27 Jun 2019
27 Jun 2019
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2019
$0.03
31 May 2019
30 May 2019
30 May 2019
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2019
$0.03
30 Apr 2019
29 Apr 2019
29 Apr 2019
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Mar 2019
$0.03
29 Mar 2019
28 Mar 2019
28 Mar 2019
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2019
$0.03
28 Feb 2019
27 Feb 2019
27 Feb 2019
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2019
$0.03
31 Jan 2019
30 Jan 2019
30 Jan 2019
TGMN
TGMNX TCW Securitized Bond Fund Class N
27 Dec 2018
$0.04
27 Dec 2018
26 Dec 2018
27 Dec 2018
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2018
$0.03
30 Nov 2018
29 Nov 2018
29 Nov 2018
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2018
$0.03
1 Nov 2018
30 Oct 2018
31 Oct 2018
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Sep 2018
$0.03
28 Sep 2018
27 Sep 2018
27 Sep 2018
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2018
$0.03
31 Aug 2018
30 Aug 2018
30 Aug 2018
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2018
$0.03
31 Jul 2018
30 Jul 2018
30 Jul 2018
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Jun 2018
$0.03
29 Jun 2018
28 Jun 2018
28 Jun 2018
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2018
$0.03
31 May 2018
30 May 2018
30 May 2018
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2018
$0.03
30 Apr 2018
27 Apr 2018
27 Apr 2018
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Mar 2018
$0.02
29 Mar 2018
28 Mar 2018
28 Mar 2018
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2018
$0.02
28 Feb 2018
27 Feb 2018
27 Feb 2018
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2018
$0.02
31 Jan 2018
30 Jan 2018
31 Jan 2018
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Dec 2017
$0.05
28 Dec 2017
27 Dec 2017
28 Dec 2017
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2017
$0.02
30 Nov 2017
29 Nov 2017
29 Nov 2017
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2017
$0.02
1 Nov 2017
30 Oct 2017
30 Oct 2017
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Sep 2017
$0.02
29 Sep 2017
28 Sep 2017
29 Sep 2017
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2017
$0.02
31 Aug 2017
30 Aug 2017
30 Aug 2017
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2017
$0.02
31 Jul 2017
28 Jul 2017
31 Jul 2017
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2017
$0.02
30 Jun 2017
29 Jun 2017
29 Jun 2017
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2017
$0.02
31 May 2017
30 May 2017
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Apr 2017
$0.02
28 Apr 2017
27 Apr 2017
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2017
$0.02
31 Mar 2017
30 Mar 2017
31 Mar 2017
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2017
$0.02
28 Feb 2017
27 Feb 2017
28 Feb 2017
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2017
$0.02
31 Jan 2017
30 Jan 2017
30 Jan 2017
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Dec 2016
$0.18
29 Dec 2016
28 Dec 2016
29 Dec 2016
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2016
$0.02
30 Nov 2016
29 Nov 2016
30 Nov 2016
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2016
$0.02
1 Nov 2016
28 Oct 2016
28 Oct 2016
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2016
$0.02
30 Sep 2016
29 Sep 2016
29 Sep 2016
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2016
$0.02
31 Aug 2016
30 Aug 2016
31 Aug 2016
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Jul 2016
$0.02
29 Jul 2016
28 Jul 2016
29 Jul 2016
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2016
$0.02
30 Jun 2016
29 Jun 2016
29 Jun 2016
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2016
$0.02
31 May 2016
27 May 2016
27 May 2016
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Apr 2016
$0.02
29 Apr 2016
28 Apr 2016
28 Apr 2016
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2016
$0.02
31 Mar 2016
30 Mar 2016
30 Mar 2016
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Feb 2016
$0.02
29 Feb 2016
26 Feb 2016
26 Feb 2016
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Jan 2016
$0.02
29 Jan 2016
28 Jan 2016
28 Jan 2016
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Dec 2015
$0.09
30 Dec 2015
29 Dec 2015
30 Dec 2015
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2015
$0.02
30 Nov 2015
27 Nov 2015
27 Nov 2015
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Oct 2015
$0.02
2 Nov 2015
29 Oct 2015
29 Oct 2015
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2015
$0.02
30 Sep 2015
29 Sep 2015
29 Sep 2015
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2015
$0.02
31 Aug 2015
28 Aug 2015
28 Aug 2015
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2015
$0.02
31 Jul 2015
30 Jul 2015
30 Jul 2015
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2015
$0.01
30 Jun 2015
29 Jun 2015
29 Jun 2015
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 May 2015
$0.01
29 May 2015
28 May 2015
28 May 2015
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2015
$0.01
30 Apr 2015
29 Apr 2015
29 Apr 2015
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2015
$0.01
31 Mar 2015
30 Mar 2015
30 Mar 2015
TGMN
TGMNX TCW Securitized Bond Fund Class N
27 Feb 2015
$0.01
27 Feb 2015
26 Feb 2015
26 Feb 2015
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jan 2015
$0.01
30 Jan 2015
29 Jan 2015
29 Jan 2015
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Dec 2014
$0.06
30 Dec 2014
29 Dec 2014
30 Dec 2014
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Nov 2014
$0.02
28 Nov 2014
26 Nov 2014
26 Nov 2014
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2014
$0.02
3 Nov 2014
30 Oct 2014
31 Oct 2014
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2014
$0.02
30 Sep 2014
29 Sep 2014
30 Sep 2014
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Aug 2014
$0.02
29 Aug 2014
28 Aug 2014
29 Aug 2014
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2014
$0.02
31 Jul 2014
30 Jul 2014
30 Jul 2014
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2014
$0.02
30 Jun 2014
27 Jun 2014
27 Jun 2014
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 May 2014
$0.02
30 May 2014
29 May 2014
29 May 2014
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2014
$0.02
30 Apr 2014
29 Apr 2014
29 Apr 2014
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2014
$0.02
31 Mar 2014
28 Mar 2014
28 Mar 2014
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2014
$0.02
28 Feb 2014
27 Feb 2014
27 Feb 2014
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2014
$0.03
31 Jan 2014
30 Jan 2014
30 Jan 2014
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Dec 2013
$0.03
30 Dec 2013
27 Dec 2013
30 Dec 2013
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Nov 2013
$0.03
29 Nov 2013
27 Nov 2013
27 Nov 2013
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2013
$0.04
1 Nov 2013
30 Oct 2013
30 Oct 2013
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2013
$0.04
30 Sep 2013
27 Sep 2013
27 Sep 2013
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Aug 2013
$0.04
30 Aug 2013
29 Aug 2013
29 Aug 2013
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2013
$0.04
31 Jul 2013
30 Jul 2013
30 Jul 2013
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Jun 2013
$0.04
28 Jun 2013
27 Jun 2013
27 Jun 2013
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2013
$0.04
31 May 2013
30 May 2013
30 May 2013
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2013
$0.04
30 Apr 2013
29 Apr 2013
29 Apr 2013
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Mar 2013
$0.04
28 Mar 2013
27 Mar 2013
27 Mar 2013
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2013
$0.04
28 Feb 2013
27 Feb 2013
27 Feb 2013
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2013
$0.04
31 Jan 2013
30 Jan 2013
31 Jan 2013
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Dec 2012
$0.04
28 Dec 2012
27 Dec 2012
28 Dec 2012
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2012
$0.04
30 Nov 2012
29 Nov 2012
29 Nov 2012
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2012
$0.05
1 Nov 2012
30 Oct 2012
30 Oct 2012
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Sep 2012
$0.05
28 Sep 2012
27 Sep 2012
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2012
$0.05
31 Aug 2012
30 Aug 2012
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2012
$0.05
31 Jul 2012
30 Jul 2012
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Jun 2012
$0.05
29 Jun 2012
28 Jun 2012
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2012
$0.05
31 May 2012
30 May 2012
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2012
$0.05
30 Apr 2012
27 Apr 2012
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Mar 2012
$0.06
30 Mar 2012
29 Mar 2012
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Feb 2012
$0.06
29 Feb 2012
28 Feb 2012
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2012
$0.06
31 Jan 2012
30 Jan 2012
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Dec 2011
$0.08
29 Dec 2011
28 Dec 2011
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2011
$0.06
30 Nov 2011
29 Nov 2011
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2011
$0.06
1 Nov 2011
28 Oct 2011
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2011
$0.06
30 Sep 2011
29 Sep 2011
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2011
$0.06
31 Aug 2011
30 Aug 2011
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Jul 2011
$0.06
29 Jul 2011
28 Jul 2011
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2011
$0.06
30 Jun 2011
29 Jun 2011
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2011
$0.06
31 May 2011
27 May 2011
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Apr 2011
$0.06
29 Apr 2011
28 Apr 2011
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2011
$0.06
31 Mar 2011
30 Mar 2011
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2011
$0.06
28 Feb 2011
25 Feb 2011
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2011
$0.06
31 Jan 2011
28 Jan 2011
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Dec 2010
$0.33
29 Dec 2010
28 Dec 2010
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2010
$0.07
30 Nov 2010
29 Nov 2010
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Oct 2010
$0.07
1 Nov 2010
28 Oct 2010
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2010
$0.07
30 Sep 2010
29 Sep 2010
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2010
$0.07
31 Aug 2010
30 Aug 2010
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jul 2010
$0.07
30 Jul 2010
29 Jul 2010
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2010
$0.07
30 Jun 2010
29 Jun 2010
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 May 2010
$0.07
28 May 2010
27 May 2010
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2010
$0.06
30 Apr 2010
29 Apr 2010
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2010
$0.06
31 Mar 2010
30 Mar 2010
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
26 Feb 2010
$0.06
26 Feb 2010
25 Feb 2010
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Jan 2010
$0.07
29 Jan 2010
28 Jan 2010
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Dec 2009
$0.14
30 Dec 2009
29 Dec 2009
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2009
$0.07
30 Nov 2009
27 Nov 2009
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Oct 2009
$0.07
2 Nov 2009
29 Oct 2009
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2009
$0.07
30 Sep 2009
29 Sep 2009
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2009
$0.08
31 Aug 2009
28 Aug 2009
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2009
$0.08
31 Jul 2009
30 Jul 2009
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2009
$0.08
30 Jun 2009
29 Jun 2009
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 May 2009
$0.08
29 May 2009
28 May 2009
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2009
$0.08
30 Apr 2009
29 Apr 2009
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2009
$0.08
31 Mar 2009
30 Mar 2009
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
27 Feb 2009
$0.06
27 Feb 2009
26 Feb 2009
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jan 2009
$0.06
30 Jan 2009
29 Jan 2009
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
19 Dec 2008
$0.1
19 Dec 2008
18 Dec 2008
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Nov 2008
$0.05
28 Nov 2008
26 Nov 2008
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2008
$0.05
3 Nov 2008
30 Oct 2008
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2008
$0.05
30 Sep 2008
29 Sep 2008
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Aug 2008
$0.05
29 Aug 2008
28 Aug 2008
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2008
$0.05
31 Jul 2008
30 Jul 2008
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2008
$0.05
30 Jun 2008
27 Jun 2008
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 May 2008
$0.05
30 May 2008
29 May 2008
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2008
$0.05
30 Apr 2008
29 Apr 2008
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2008
$0.03
31 Mar 2008
28 Mar 2008
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Feb 2008
$0.03
29 Feb 2008
28 Feb 2008
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2008
$0.03
31 Jan 2008
30 Jan 2008
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Dec 2007
$0.03
28 Dec 2007
27 Dec 2007
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2007
$0.03
30 Nov 2007
29 Nov 2007
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2007
$0.04
1 Nov 2007
30 Oct 2007
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Sep 2007
$0.04
28 Sep 2007
27 Sep 2007
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2007
$0.04
31 Aug 2007
30 Aug 2007
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2007
$0.04
31 Jul 2007
30 Jul 2007
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Jun 2007
$0.04
29 Jun 2007
28 Jun 2007
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2007
$0.04
31 May 2007
30 May 2007
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2007
$0.04
30 Apr 2007
27 Apr 2007
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Mar 2007
$0.04
30 Mar 2007
29 Mar 2007
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2007
$0.04
28 Feb 2007
27 Feb 2007
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2007
$0.04
31 Jan 2007
30 Jan 2007
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Dec 2006
$0.04
29 Dec 2006
28 Dec 2006
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2006
$0.04
30 Nov 2006
29 Nov 2006
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2006
$0.04
1 Nov 2006
30 Oct 2006
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Sep 2006
$0.04
29 Sep 2006
28 Sep 2006
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2006
$0.04
31 Aug 2006
30 Aug 2006
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2006
$0.04
31 Jul 2006
28 Jul 2006
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2006
$0.03
30 Jun 2006
29 Jun 2006
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2006
$0.03
31 May 2006
30 May 2006
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Apr 2006
$0.03
28 Apr 2006
27 Apr 2006
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2006
$0.04
31 Mar 2006
30 Mar 2006
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2006
$0.04
28 Feb 2006
27 Feb 2006
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2006
$0.04
31 Jan 2006
30 Jan 2006
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Dec 2005
$0.04
30 Dec 2005
29 Dec 2005
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2005
$0.04
30 Nov 2005
29 Nov 2005
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2005
$0.04
1 Nov 2005
28 Oct 2005
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2005
$0.04
30 Sep 2005
29 Sep 2005
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2005
$0.04
31 Aug 2005
30 Aug 2005
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Jul 2005
$0.04
29 Jul 2005
28 Jul 2005
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2005
$0.04
30 Jun 2005
29 Jun 2005
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2005
$0.04
31 May 2005
27 May 2005
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Apr 2005
$0.04
29 Apr 2005
28 Apr 2005
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2005
$0.04
31 Mar 2005
30 Mar 2005
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2005
$0.03
28 Feb 2005
25 Feb 2005
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2005
$0.03
31 Jan 2005
28 Jan 2005
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Dec 2004
$0.03
31 Dec 2004
30 Dec 2004
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2004
$0.03
30 Nov 2004
29 Nov 2004
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Oct 2004
$0.03
1 Nov 2004
28 Oct 2004
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2004
$0.03
30 Sep 2004
29 Sep 2004
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2004
$0.03
31 Aug 2004
30 Aug 2004
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jul 2004
$0.03
30 Jul 2004
29 Jul 2004
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2004
$0.04
30 Jun 2004
29 Jun 2004
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 May 2004
$0.04
28 May 2004
27 May 2004
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2004
$0.04
30 Apr 2004
29 Apr 2004
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2004
$0.04
31 Mar 2004
30 Mar 2004
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
27 Feb 2004
$0.04
27 Feb 2004
26 Feb 2004
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jan 2004
$0.04
30 Jan 2004
29 Jan 2004
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Dec 2003
$0.04
31 Dec 2003
30 Dec 2003
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Nov 2003
$0.04
28 Nov 2003
26 Nov 2003
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2003
$0.06
3 Nov 2003
30 Oct 2003
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2003
$0.06
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Aug 2003
$0.06
29 Aug 2003
28 Aug 2003
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2003
$0.06
31 Jul 2003
30 Jul 2003
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2003
$0.05
30 Jun 2003
27 Jun 2003
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 May 2003
$0.05
30 May 2003
29 May 2003
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2003
$0.05
30 Apr 2003
29 Apr 2003
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2003
$0.05
31 Mar 2003
28 Mar 2003
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2003
$0.05
28 Feb 2003
27 Feb 2003
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2003
$0.06
31 Jan 2003
30 Jan 2003
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Dec 2002
$0.06
31 Dec 2002
30 Dec 2002
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Nov 2002
$0.06
29 Nov 2002
27 Nov 2002
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2002
$0.06
1 Nov 2002
30 Oct 2002
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 2002
$0.06
30 Sep 2002
27 Sep 2002
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Aug 2002
$0.07
30 Aug 2002
29 Aug 2002
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2002
$0.07
31 Jul 2002
30 Jul 2002
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Jun 2002
$0.07
28 Jun 2002
27 Jun 2002
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2002
$0.07
31 May 2002
30 May 2002
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2002
$0.07
30 Apr 2002
29 Apr 2002
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Mar 2002
$0.06
28 Mar 2002
27 Mar 2002
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2002
$0.06
28 Feb 2002
27 Feb 2002
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2002
$0.06
31 Jan 2002
30 Jan 2002
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Dec 2001
$0.09
31 Dec 2001
28 Dec 2001
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2001
$0.04
30 Nov 2001
29 Nov 2001
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Oct 2001
$0.04
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Sep 2001
$0.04
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2001
$0.04
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2001
$0.04
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Jun 2001
$0.04
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2001
$0.04
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Apr 2001
$0.04
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Mar 2001
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Feb 2001
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2001
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Dec 2000
$0.07
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 2000
$0.04
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
1 Nov 2000
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Sep 2000
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Aug 2000
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jul 2000
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Jun 2000
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 May 2000
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
28 Apr 2000
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Mar 2000
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
29 Feb 2000
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Jan 2000
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
31 Dec 1999
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Nov 1999
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
1 Nov 1999
$0.05
-
-
-
TGMN
TGMNX TCW Securitized Bond Fund Class N
30 Sep 1999
$0.05
-
-
-

TGMNX Dividend FAQ

What is the dividend yield?

The current dividend yield for TGMNX is 0.16%, based on the most recent dividend payment and the current stock price of $8.09 on the NASDAQ.

How often are dividends paid?

Dividends are paid on a monthly basis, with typical payment being every month.

When is the next dividend payment date?

TCW Securitized Bond Fund Class N has not announced any upcoming dividend.

What is the dividend history?

The company has a dividend payment history that includes 26 years of consistent payments. The most recent payment was 0.0424 per share on 2025-11-28.

What is the average annual dividend growth rate?

The average annual dividend growth rate over the past 26 years is approximately -0.85%, reflecting the TGMNX's commitment to rewarding shareholders.

How can I track TGMNX dividends?

You can easily track TGMNX dividend payments using our Dividend Tracker. It helps you monitor upcoming payment dates, yields, history, and more - all in one place.