Skip to content
10-K

Annual Report

TCW DIRECT LENDING VII LLC

0000950170-24-039058

← back to feed
Filed
Apr 1, 2024 12:00 AM ET
Period of report

On SEC.gov

Financials in this filing

Metric Period Value
Short Term Investments FY 2023 · Dec 31, 2022 $0
Cash And Equivalents FY 2023 · Dec 31, 2022 $47.66M
Total Liabilities FY 2023 · Dec 31, 2022 $421.25M
Total Assets FY 2023 · Dec 31, 2022 $1.16B
Operating Cash Flow FY 2023 · Dec 31, 2021 $2.05M
Eps Diluted FY 2023 · Dec 31, 2021 $8.14
Eps Basic FY 2023 · Dec 31, 2021 $8.14
Net Income FY 2023 · Dec 31, 2021 $111.8M