Neuberger Berman High Yield Bond Fund announced monthly dividend of USD 0.049019 on USD U monthly distributing class, AUD 0.066392 on AUD A monthly distributing class, AUD 0.064657 on AUD B monthly distributing class, AUD 0.064696 on AUD C2 monthly distributing class, AUD 0.065224 on AUD E monthly distributing class, AUD 0.074486 on AUD I2 monthly distributing class, AUD 0.070631 on AUD T monthly distributing class, CAD 0.050362 on CAD A monthly distributing class, CAD 0.059523 on CAD I2 monthly distributing class, CNY 0.663481 on CNY A monthly distributing class, CNY 0.655653 on CNY B monthly distributing class, CNY 0.656137 on CNY C2 monthly distributing class, CNY 0.678424 on CNY I monthly distributing class, CNY 0.749264 on CNY I2 monthly distributing class, CNY 0.677643 on CNY T monthly distributing class, EUR 0.050167 on EUR A monthly distributing class, EUR 0.055938 on EUR I2 monthly distributing class, GBP 0.049031 on GBP A monthly distributing class, HKD 0.049149 on HKD A monthly distributing class, HKD 0.056991 on HKD I2 monthly distributing class, SGD 0.103852 on SGD A monthly distributing class, SGD 0.115342 on SGD I2 monthly distributing class, USD 0.051011 on USD A monthly distributing class, USD 0.050730 on USD B monthly distributing class, USD 0.050748 on USD C2 monthly distributing class, USD 0.051471 on USD E monthly distributing class, USD 0.051295 on USD I monthly distributing class, USD 0.057303 on USD I2 monthly distributing class, USD 0.053124 on USD T monthly distributing class, ZAR 0.973883 on ZAR A monthly distributing class, ZAR 0.971469 on ZAR B monthly distributing class, ZAR 0.970691 on ZAR C2 monthly distributing class, ZAR 0.960518 on ZAR E monthly distributing class, ZAR 1.165074 on ZAR I2 monthly distributing class, ZAR 1.018162 on ZAR T monthly distributing class and USD 0.057886 USD I4 monthly distributing class for the period from July 1, 2017 to July 31, 2017. The dividends will be payable on August 3, 2017 with the record date of July 31, 2017.