Neuberger Berman Investment Fund Plc - Neuberger Berman High Yield Bond Fund announced dividend for the period from July 1 to July 31, 2019 of SGD 0.088435 on A Monthly Distributing Class, USD 0.044185 on A Monthly Distributing Class, EUR 0.041153 on A Monthly Distributing Class, CNY 0.541664 on A Monthly Distributing Class, AUD 0.042642 on A Monthly Distributing Class, USD 0.044967 on I Monthly Distributing Class, HKD 0.041864 on A Monthly Distributing Class, USD 0.043685 on B Monthly Distributing Class, USD 0.043688 on C2 Monthly Distributing Class, USD 0.046672 on T Monthly Distributing Class, CNY 0.560595 on I Monthly Distributing Class, USD 0.042719 on U Monthly Distributing Class, ZAR 0.733393 on B Monthly Dist Class, ZAR 0.732826 on C2 Monthly Dist Class, ZAR 0.784191 on T Monthly Dist Class, AUD 0.046655 on T Monthly Dist Class, AUD 0.041932 on C2 Monthly Distributing Class, AUD 0.041867 on B Monthly Distributing Class, CAD 0.042958 on A Monthly Distributing Class, ZAR 0.819271 on A Monthly Distributing Class, CNY 0.464074 on B Monthly Distributing Class, CNY 0.464357 on C2 Monthly Distributing Class, CNY 0.489262 on T Monthly Distributing Class, AUD 0.042234 on E Monthly Distributing Class, GBP 0.041091 on A Monthly Distributing Class, USD 0.044324 on E Monthly Distributing Class, ZAR 0.725143 on E Monthly Distributing Class, AUD 0.048498 on I2 (Monthly) Distributing Class, EUR 0.046549 on I2 (Monthly) Distributing Class, USD 0.050332 on I2 (Monthly) Distributing Class and USD 0.038300 on I4 Monthly Distributing Class. The dividend is payable on August 5, 2019 to the shareholders record on July 31, 2019.