Neuberger Berman Investment Fund Plc - Neuberger Berman High Yield Bond Fund announced a dividend of SGD 0.075293 per unit of SGD A Monthly Distributing Class, USD 0.037929 per unit of USD A Monthly Distributing Class, EUR 0.034561 per unit of EUR A Monthly Distributing Class, CNY 0.462286 per unit of CNY A Monthly Distributing Class, AUD 0.035972 per unit of AUD A Monthly Distributing Class, USD 0.038778 per unit of USD I Monthly Distributing Class, HKD 0.035894 per unit of HKD A Monthly Distributing Class, USD 0.036844 per unit of USD B Monthly Distributing Class, USD 0.036844 per unit of USD C2 Monthly Distributing Class, USD 0.039628 per unit of USD T Monthly Distributing Class, CNY 0.480374 per unit of CNY I Monthly Distributing Class, USD 0.036735 per unit of USD U Monthly Distributing Class, ZAR 0.613616 per unit of ZAR B Monthly Dist Class, ZAR 0.613063 per unit of ZAR C2 Monthly Dist Class, ZAR 0.660516 per unit of ZAR T Monthly Dist Class, AUD 0.038928 per unit of AUD T Monthly Dist Class, AUD 0.034745 per unit of AUD C2 Monthly Distributing Class, AUD 0.0347 per unit of AUD B Monthly Distributing Class, CAD 0.03656 per unit of CAD A Monthly Distributing Class, ZAR 0.692968 per unit of ZAR A Monthly Distributing Class, CNY 0.391857 per unit of CNY B Monthly Distributing Class, CNY 0.415801 per unit of CNY T Monthly Distributing Class, AUD 0.035004 per unit of AUD E Monthly Distributing Class, GBP 0.034572 per unit of GBP A Monthly Distributing Class, USD 0.037383 per unit of USD E Monthly Distributing Class, ZAR 0.606705 per unit of ZAR E Monthly Distributing Class, AUD 0.0411 per unit of AUD I2 (Monthly) Distributing Class, EUR 0.039276 per unit of EUR I2 (Monthly) Distributing Class, USD 0.043415 per unit of USD I2 (Monthly) Distributing Class, USD 0.0383 per unit of USD I4 Monthly Distributing Class for the period from March 1, 2020 to March 31, 2020. The record date is March 31, 2020 and payment date is on April 3, 2020.