TCW Relative Value Mid Cap Fund

TGVNX

Net Asset ($)

Date Net Assets ($) Total Assets ($) Total Liabilities ($)
Mar 18, 2024 81.4M 81.6M 140.3K
Dec 5, 2023 71.4M 71.6M 135.8K
Sep 12, 2023 81.7M 82M 345.6K
Jun 15, 2023 74.8M 75.1M 289K
Mar 21, 2023 82M 82.1M 110.6K
Dec 8, 2022 75.9M 77.5M 1.6M
Sep 12, 2022 77.7M 78.1M 406.7K
Jun 16, 2022 79.5M 79.8M 355.9K
Mar 17, 2022 85.3M 85.5M 127.1K
Dec 16, 2021 89.3M 90M 771.2K
Sep 17, 2021 79.7M 79.8M 109.8K
Jun 22, 2021 79.6M 79.9M 294.4K
Mar 19, 2021 65.9M 72.5M 6.6M
Dec 21, 2020 61.9M 62.4M 427K
Sep 11, 2020 63.6M 63.8M 241.9K
Jun 19, 2020 58.4M 58.9M 482.9K
Mar 18, 2020 80.7M 80.8M 104.2K