Neuberger Berman Investment Fund Plc - Neuberger Berman High Yield Bond Fund announced monthly dividend payment on USD U (Monthly) Distributing Class of USD 0.048650, on AUD A (Monthly) Distributing Class of AUD 0.066744, on AUD B (Monthly) Distributing Class of AUD 0.066157, on AUD C2 (Monthly) Distributing Class of 0.066193, on AUD E (Monthly) Distributing Class of AUD 0.066742, on AUD I2 (Monthly) Distributing Class of AUD 0.074485, on AUD T (Monthly) Distributing Class of AUD 0.071736, on CAD A (Monthly) Distributing Class of CAD 0.050277, on CAD I2 Monthly Distributing Class of CAD 0.059097, on CNY A (Monthly) Distributing Class of CNY 0.652939, on CNY B (Monthly) Distributing Class of CNY 0.656743, on CNY C2 (Monthly) Distributing Class of CNY 0.657205, on CNY I (Monthly) Distributing Class of CNY 0.664889, on CNY I2 Monthly Distributing Class of CNY 0.733265, on CNY T (Monthly) Distributing Class of CNY 0.673719, on EUR A (Monthly) Distributing Class of EUR 0.050555, on EUR I2 (Monthly) Distributing Class of EUR 0.056037, on GBP A (Monthly) Distributing Class of GBP 0.049094, on HKD A (Monthly) Distributing Class of HKD 0.049065, on HKD I2 (Monthly) Distributing Class of HKD 0.056580, on SGD A (Monthly) Distributing Class of HKD 0.103600, on SGD I (Monthly) Distributing Class of SGD 0.051510, on SGD I2 (Monthly) Distributing Class of SGD 0.114432, on USD A (Monthly) Distributing Class of USD 0.050740, on USD B (Monthly) Distributing Class of USD 0.051362, on USD C2 (Monthly) Distributing Class of USD 0.051389, on USD E (Monthly) Distributing Class USD 0.052112, on USD I (Monthly) Distributing Class USD 0.050796, on USD I2 (Monthly) Distributing Class on USD 0.056703, USD I4 Monthly Distributing Class of USD 0.057225, on USD T (Monthly) Distributing Class of USD 0.053381, on ZAR A (Monthly) Distributing Class of ZAR 0.965360, ZAR B (Monthly) Distributing Class ZAR 0.980165, on ZAR C2 (Monthly) Distributing Class of ZAR 0.979369, on ZAR E (Monthly) Distributing Class of ZAR 0.969109, on ZAR I2 Monthly Distributing Class of ZAR 1.148722 and on ZAR T (Monthly) Distributing Class of ZAR 1.019628 for the period from October 01, 2016 to October 31, 2016. This dividends will be payable on November 03, 2016 and record date is October 31, 2016.