Neuberger Berman High Yield Bond Fund JPY A (Monthly) Distributing Class - Unhedged

YTD 1 month 3 months 6 months 1 year 2 years 3 years 5 years
-2.06%
31.12.24 - 18.12.25
+0.76%
18.11.25 - 18.12.25
+3.67%
18.09.25 - 18.12.25
+7.37%
18.06.25 - 18.12.25
-0.31%
18.12.24 - 18.12.25
+5.21%
24.09.24 - 18.12.25
- -
1,079.83 (H)
08.01.2025
1,068.15 (H)
19.12.2025
1,068.15 (H)
19.12.2025
1,068.15 (H)
19.12.2025
1,079.83 (H)
08.01.2025
1,079.83 (H)
08.01.2025
- -
936.34 (L)
22.04.2025
1,046.20 (L)
18.11.2025
1,001.03 (L)
01.10.2025
977.02 (L)
01.07.2025
936.34 (L)
22.04.2025
936.34 (L)
22.04.2025
- -