What do a strong economy and rising inflation mean for corporate bonds in the months ahead? To date, primary market issuance has been as active as borrowing costs remain historically low, but for how long? Find out what Richard Woolnough and Ben Lord, co-fund managers of both the M&G Corporate Bond Fund and M&G Strategic Corporate Bond Fund, think are the tipping points in terms of valuations and opportunities for their credit portfolios. And is it still a case of ‘avoiding the losers’ rather than ‘picking the winners’ in the quest for finding best opportunities in corporate bond investing?