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Managed High Yield Plus Fund Inc. --
Dividend Declaration and Updated Price & Yield Information

UBS Global Asset Management

New York, September 11, 2006 -- Managed High Yield Plus Fund Inc. (the "Fund") (HYF), a closed-end management investment company, today announced that the Fund's Board of Directors has declared a dividend from net investment income of $0.0450 per share. The dividend is payable on September 29, 2006 to shareholders of record as of September 21, 2006. The ex-dividend date is September 19, 2006. Managed High Yield Plus Fund Inc. seeks high income and, secondarily, capital appreciation, primarily through investments in lower-rated, income producing debt and related equity securities.

Characteristics as of August 31, 2006:*

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Net Asset Value                            $4.74
Market Price                               $5.09
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NAV Yield                                  11.39%
Market Yield                               10.61%
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* Net asset value (NAV), market price and yields will fluctuate.
NAV yield is calculated by multiplying the current month's dividend by
12 and dividing by the month-end net asset value. Market yield is
calculated by multiplying the current month's dividend by 12 and
dividing by the month-end market price.


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