Neuberger Berman Investment Fund Plc - Neuberger Berman High Yield Bond Fund declared dividend for the period from April 1 to June 30, 2019, of Distributing Class I of AUD 0.154532; Distributing Class I of CHF 0.107941; Distributing Class A of EUR 0.108234; Distributing Class I of EUR 0.116688; Distributing Class I2 of EUR 0.117292; Distributing Class I3 of EUR 0.130298; Distributing Class M of EUR 0.147902; Distributing Class A of GBP 0.115135; Distributing Class I of GBP 0.139445; Distributing Class I2 of GBP 0.125908; Distributing Class A of USD 0.118711; Distributing Class C of USD 0.101370; Distributing Class I of USD 0.153820; and Distributing Class I2 of USD 0.130647, payable on July 3, 2019. Record date is on June 28, 2019.