Neuberger Berman Investment Fund Plc - Neuberger Berman High Yield Bond Fund announced a dividend of SGD 0.083043 per unit of SGD A Monthly Distributing Class, AUD 0.039609 per unit of AUD A Monthly Distributing Class, CNY 0.511781 per unit of CNY A Monthly Distributing Class, CNY 0.533684 per unit of CNY I Monthly Distributing Class, EUR 0.037925 per unit of EUR A Monthly Distributing Class, HKD 0.039775 per unit of HKD A Monthly Distributing Class, USD 0.041989 per unit of USD A Monthly Distributing Class, USD 0.040167 per unit of USD B Monthly Distributing Class, USD 0.040170 per unit of USD C2 Monthly Distributing Class, USD 0.043072 per unit of USD I Monthly Distributing Class, USD 0.043452 per unit of USD T Monthly Distributing Class, USD 0.040739 per unit of USD U Monthly Distributing Class, AUD 0.037627 per unit of AUD B Monthly Distributing Class, AUD 0.037681 per unit of AUD C2 Monthly Distributing Class, AUD 0.037959 per unit of AUD E Monthly Distributing Class, AUD 0.042458 per unit of AUD T Monthly Distributing Class, CAD 0.040309 per unit of CAD A Monthly Distributing Class, CNY 0.458680 per unit of CNY T Monthly Distributing Class, GBP 0.038047 per unit of GBP A Monthly Distributing Class, USD 0.040754 per unit of USD E Monthly Distributing Class, USD 0.048259 per unit of USD I2 Monthly Distributing Class, ZAR 0.757045 per unit of ZAR A Monthly Distributing Class, ZAR 0.664053 per unit of ZAR B Monthly Distributing Class, ZAR 0.663452 per unit of ZAR C2 Monthly Distributing Class, ZAR 0.656564 per unit of ZAR E Monthly Distributing Class, ZAR 0.718991 per unit of ZAR T Monthly Distributing Class and USD 0.038300 per unit of USD I4 Monthly Distributing Class for the period from October 1, 2020 to October 31, 2020. The dividend will be payable on November 4, 2020. Record date is October 30, 2020.