Luke C. Andersen joined Andersen Capital Management as an Investment Analyst in 2024. He brings solid experience and a strong background in finance and investment analysis to the team.
Before joining ACM, Luke was an Investment Banking Associate at Mirus Capital Advisors where he worked with companies across various industries such as healthcare, technology, and financial institutions. Luke’s experience includes supporting sell-side transactions, managing the diligence process, and playing a pivotal role in the successful completion of several notable M&A transactions.
Prior to Mirus Capital Advisors, Luke was a Senior Financial Analyst at Leap Therapeutics, Inc., a venture-backed publicly traded oncology biotech company. He managed various valuation models, developed commercialization strategies, and played a key role in successful follow-on public offerings.
Luke has a BS in Animal Science and Business from Cornell University where he was the Captain of the Cornell Varsity Sailing Team and graduated as an ICSA All-Academic. Outside of his professional endeavors, Luke is an avid competitive sailor and golfer.
Leveraging his 20 years of leadership experience in the financial services sector, Michael Young provides trading execution and operation support to Andersen Capital Management while providing crucial operational leadership of the Corporate RIA — Integrated Advisors Network LLC.
Previously, he co-founded and served as Managing Partner and CCO of Echelon Investment Management and held executive roles at Aspen Equity Partners, an independent broker/dealer, and a securities corporation. Michael holds a BBA in Finance from Emory University’s Goizueta Business School and is a Certified Regulatory and Compliance Professional from the FINRA Institute at Wharton.
Chief Compliance Officer
As Chief Compliance Officer of Integrated Advisors Network, LLC, Danielle Tyler is responsible for all compliance and regulatory matters related to Andersen Capital Management, including the development of policies and processes to ensure regulatory compliance and establish best practices.
Danielle is a seasoned compliance executive with 13 years of experience. Before joining the team in July 2021, she served as Chief Compliance Officer for Retirement Wealth Advisors, Inc. and FormulaFolio Investments, LLC, two SEC-Registered Investment Advisors based in Grand Rapids, Michigan. She also spent over 12 years as Chief Compliance Officer and Supervising Principal for MEA Financial Services, Inc.’s Investment Division, where she oversaw investment sales, reviewed school district 457 plan documents, and built strong partnerships with investment company vendors.
Danielle holds an MBA in Finance from Davenport University and a B.A. in Organizational Communication from Michigan State University.
Director of Advisor Operations
A veteran of the industry, Gilinda Mioduszewski oversees the firms’ daily business needs, assisting with technology, reporting, billing, and client requests. Known for her in-depth operational expertise and timely support, she is a valued resource for advisors.
Operations and Compliance Associate
With a background in law and degrees from CU Boulder and SMU Law School, Stephanie Clouatre provides custodial advice and services while offering compliance and marketing support. Known for her attention to detail and approachable communication style, she is a key asset to the team.