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About Us

Integrated Advisors Network is a SEC-Registered Investment Adviser offering a “supported independence” business model to advisors who want to run their own business without bearing all of the cost and responsibilities associated with doing so. Through our strategic business alliances, we provide an integrated back office technology and services platform that allows advisors to establish their personally branded investment adviser practice, while leveraging the benefits of shared cost. We have created a unique and flexible environment that supports advisors during and after their transition to independence, and enables them to better service their clients. Find out more about how Integrated Advisors Network can help define your future.


Meet Our Team


Jeff Groves 

Chief Executive Officer

Jeff serves as Chief Executive Officer and is a co-founder of Integrated Advisors Network. A true champion of entrepreneurship, Jeff is committed to helping advisors build the business they envision on their own terms by providing access to affordable advisor-centric solutions with best-in-class integrated functionality.

After more than 20 years in the industry where Jeff was partner of a dually-registered investment adviser and broker dealer, he made the leap to independence and built a successful regulatory compliance consulting firm that is founded on the same principals as the Integrated Advisors Network: provide people with the support they need to be successful and independent.

Jeff has spent the last 8 years with his sleeves rolled up, guiding more than 190 broker dealers, investment advisers, hedge funds and private equity firms through regulatory and business affairs. He provides a deep knowledge base his clients have come to depend on. Jeff has a Bachelor of Science in Finance from California State University, Fullerton and performed graduate studies at Pepperdine University. 

Jeff shares a rich and very active family life with his wife, Angela, and their two teenage daughters.


Linda Pix 

Chief Business Development Officer

Linda serves as Chief Business Development Officer and is a co-founder of Integrated Advisors Network, Linda helps advisors overcome the challenges they face in advisory firm structures, regulatory issues, operational support, and transition protocol. With her leadership qualities, and well-rounded industry experience, Linda is an expert in business processes related to establishing and growing a RIA business, with a well-defined process for helping advisors make career transitions.

Linda’s career has focused on RIA business process optimization with a focus on developing intelligent structures that empower the registered investment advisor.  As Vice President of Sales and Relationship Management at Fidelity Investments Institutional Wealth Services, she spent over 6 years guiding hundreds of advisors in establishing and growing their RIA’s.   Additionally, as Vice President for Western Regional Sales at MarketCounsel, she helped breakaway brokers and investment advisors from the startup phase through implementation of establishing their own registered investment advisory practice.

From her own entrepreneurial background, Linda understands how to examine each of the factors contributing to a successful business and the role a support system plays in placing entrepreneurs in control of their personal career path.

Linda brings over 20 years of insight, passion, and well-rounded industry experience to the Integrated Advisors Network platform. Her goal is to help advisors have more control over their total advisory compensation and achieve independence.

Linda, a Texas native, moved to southern California in 2001 where she enjoys traveling and an active lifestyle in her beachside community.


Michael Young 


Michael Young serves as President of Integrated Advisors Network, responsible for driving the effective strategic corporate implementation of the firm’s offerings and providing operational leadership.

Michael brings extensive experience and proven leadership, having run the operations of multiple companies during his more than 20 years in the industry. He also serves as President of Integrated Advisors Network. Prior to that, he was also acting as Co-founder, Managing Partner and CCO of Echelon Investment Management, a boutique investment firm, and Managing Partner and CCO of Aspen Equity Partners, an investment banking firm, and Executive Vice President of an independent broker/dealer, and Executive VP and Head Trader for a securities corporation.

Michael graduated from Emory University’s Goizueta Business School in 1992 with a BBA, concentration in Finance. He also earned the designation of Certified Regulatory and Compliance Professional from the FINRA Institute at Wharton, which provides a framework for his understanding of securities regulation, as well as compliance and risk identification practices. 

Michael lives in Dallas with his wife, Cindy, and their two yellow Labradors. An avid cyclist, he is also Treasurer and Board member of Williams Racing Academy Development Project, a 501(c)3 not for profit organization focused on providing the support and growth opportunities for young American cyclists


Sharon Goldberg 

Chief Compliance Officer

Sharon serves as Chief Compliance Officer of Integrated Advisors Network team. Her primary responsibilities include overseeing and managing compliance within the organization, ensuring that the company and its employees are comply with regulatory requirements and internal policies and procedures.

Prior to joining the Integrated team, Sharon has held senior positions in Compliance and Operations, including Chief Compliance Officer for First Quadrant, a registered investment advisor. Prior to that she served as Chief Compliance Officer with Macquarie Allegiance Capital, a registered investment advisor and their other affiliated companies including a hedge fund of funds. She was also the executive in charge of the operations and has a proven record of leading and driving complex organizational change programs such as re-engineering and automating manual processes to reduce risk and improve operational efficiency.

Sharon has also previously held various management positions within the Investment division at Pacific Life Insurance Co. She has been a presenter at industry conferences on a variety of topics and holds a Bachelor of Arts degree from Chapman University, Orange, CA.

In her free time, Sharon can be found exploring the great outdoors in the beautiful Colorado Rockies.


Soth Chin

Co-Chief Compliance Officer

Soth has over 25 years of financial services experience working with investment advisers, broker-dealers; mutual funds, hedge funds, private equity; and venture capital funds. Most of his 25 years were spent working with startups seeking to form an investment adviser, broker-dealer, mutual funds, or ETFs. He successfully set up investment advisers for wealth management, mutual funds, private equity, and venture capital firms and have helped these firms launch over 50 mutual funds, ETFs and hedge/private equity funds.

Soth earned his Bachelor’s Degree from the University of Maryland and maintains the following active securities licenses: Series 7, 31, 24, 63, 65 and 99. Soth lives in the Washington DC metropolitan area with his wife Jennifer and their three children.

75 Malaga Cove Plaza, Suite 5
Palos Verdes Estates, CA 90274

Investment Advisory Services are offered through Integrated Advisors Network, LLC.
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