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Fair Value of Assets and Liabilities (Carrying & Estimated Fair Value of non-Fair Value Reported Instruments) (Details 5) - USD ($)
$ in Millions
Dec. 31, 2015
Dec. 31, 2014
Financial Liabilities    
Policyholder account balances, future policy benefits and claims $ 29,699 $ 30,350
Separate account liabilities 80,349 83,256
Ameriprise Financial [Member]    
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 29,699 30,350
Investment certificate reserves 4,832 4,199
Brokerage customer deposits 3,802 3,465
Separate account liabilities 80,349 83,256
Ameriprise Financial [Member] | Level 1 [Member]    
Financial Assets    
Receivables 148 215
Restricted and segregated cash 2,548 2,614
Other investments and assets 1  
Financial Liabilities    
Brokerage customer deposits 3,802 3,465
Debt and other liabilities 202 261
Ameriprise Financial [Member] | Level 2 [Member]    
Financial Assets    
Policy and certificate loans 1 1
Receivables 1,322 1,200
Other investments and assets 510 460
Financial Liabilities    
Separate account liabilities 4,704 4,478
Debt and other liabilities 2,958 3,446
Ameriprise Financial [Member] | Level 3 [Member]    
Financial Assets    
Mortgage loans, net 3,372 3,512
Policy and certificate loans 803 793
Receivables 3 3
Other investments and assets 54 84
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 12,424 13,996
Investment certificate reserves 4,823 4,195
Debt and other liabilities 113 121
Ameriprise Financial [Member] | Total [Member]    
Financial Assets    
Mortgage loans, net 3,372 3,512
Policy and certificate loans 804 794
Receivables 1,473 1,418
Restricted and segregated cash 2,548 2,614
Other investments and assets 565 544
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 12,424 13,996
Investment certificate reserves 4,823 4,195
Brokerage customer deposits 3,802 3,465
Separate account liabilities 4,704 4,478
Debt and other liabilities 3,273 3,828
Ameriprise Financial [Member] | Reported Value Measurement [Member]    
Financial Assets    
Mortgage loans, net 3,359 3,440
Policy and certificate loans 824 806
Receivables 1,471 1,418
Restricted and segregated cash 2,548 2,614
Other investments and assets 583 551
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 11,523 12,979
Investment certificate reserves 4,831 4,201
Brokerage customer deposits 3,802 3,465
Separate account liabilities 4,704 4,478
Debt and other liabilities $ 3,173 $ 3,576