Neuberger Berman Investment Fund Plc - Neuberger Berman High Yield Bond Fund announced dividend of USD 0.041527 on U (Monthly) Distributing Class, a dividend of AUD 0.041808 on A Monthly Distributing Class, a dividend of AUD 0.048316 on B Monthly Distributing Class, a dividend of AUD 0.048345 on C2 Monthly Distributing Class, a dividend of AUD 0.048740 on E Monthly Distributing Class, a dividend of AUD 0.047295 on I2 (Monthly) Distributing Class, a dividend of AUD 0.053399 on T Monthly Distribution Class, a dividend of CAD 0.042232 on A Monthly Distributing Class, a dividend of CNY 0.568885 on A Monthly Distributing Class, a dividend of CNY 0.581700 on B Monthly Distributing Class, a dividend of CNY 0.582208 on C2 Monthly Distributing Class, a dividend of CNY 0.585812 on I (Monthly) Distributing Class, a dividend of CNY 0.608335 on T Monthly Distributing Class, a dividend of EUR 0.041171 on A Monthly Distributing Class, a dividend of EUR 0.046296 on I2 (Monthly) Distributing Class, a dividend of GBP 0.040686 on A Monthly Distributing Class, a dividend of HKD 0.041073 on A Monthly Distributing Class, a dividend of SGD 0.086876 on A Monthly Distributing Class, a dividend of USD 0.043061 on A Monthly Distributing Class, a dividend of USD 0.043518 on B Monthly Distributing Class, a dividend of USD 0.043537 on C2 Monthly Distributing Class, a dividend of USD 0.044154 on E Monthly Distributing Class, a dividend of USD 0.043604 on I Monthly Distributing Class, a dividend of USD 0.048764 on I2 (Monthly) Distributing Class, a dividend of USD 0.046106 on T Monthly Distributing Class, a dividend of ZAR 0.846104 on A Monthly Distributing Class, a dividend of ZAR 0.838065 on B Monthly Distributing Class, a dividend of ZAR 0.837386 on C2 Monthly Distributing Class, a dividend of ZAR 0.828612 on E Monthly Distributing Class, a dividend of ZAR 0.888656 on T Monthly Distribution Class and a dividend of USD 0.038300 per share on I4 Monthly Distributing Class for the Period from September 1, 2018 to September 30, 2018. The record date for dividend is September 28, 2018 and dividend is payable on October 3, 2018.