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Logo for Fund TCW Relative Value Mid Cap Fund Class N

TCW Relative Value Mid Cap Fund Class N (TGVNX)

NASDAQ Currency in USD
$97.00
+$0.22
+0.23%
Last Update: 18 Jul 2026, 04:17
Assets Under Management
Expense Ratio
6.03%
Forward Dividend Yield
$70.44-$133.10
52 Week Range

TGVNX Price Chart

Explore TCW Relative Value Mid Cap Fund Class N interactive price chart. Choose custom timeframes to analyze TGVNX price movements and trends.

TGVNX Fund Profile

Key details and information about TCW Relative Value Mid Cap Fund Class N (TGVNX).

Sector Focus

Financial Services

Industry

Asset Management

Inception Date

12 May 2000

Country

US

Description

Typically, this fund commits a minimum of 80% of its net assets, along with any borrowed capital utilized for investment, to equity securities issued by mid-capitalization companies. Its investment approach largely concentrates on businesses the portfolio manager identifies as "value companies." The manager's objective is to pinpoint enterprises that have currently lost favor in the market and whose stock is trading at a discount to their estimated intrinsic worth.

TGVNX Fund Performance

View TGVNX with an interactive analytics dashboard featuring price and candlestick charts, key metrics, holdings breakdowns, and dividend yield history. Open the template in Insights to customize and save it.

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