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Fair Values of Assets and Liabilities (Carrying & Estimated Fair Value of non-Fair Value Reported Instruments) (Details 5) - USD ($)
$ in Millions
Jun. 30, 2016
Dec. 31, 2015
Financial Liabilities    
Separate account liabilities $ 80,230 $ 80,349
Ameriprise Financial [Member]    
Financial Liabilities    
Separate account liabilities 80,230 80,349
Ameriprise Financial [Member] | Level 1 [Member]    
Financial Assets    
Receivables 150 148
Restricted and segregated cash 2,640 2,548
Other investments and assets 1 1
Financial Liabilities    
Brokerage customer deposits 3,733 3,802
Debt and other liabilities 234 202
Ameriprise Financial [Member] | Level 2 [Member]    
Financial Assets    
Policy and certificate loans 1 1
Receivables 1,363 1,322
Other investments and assets 478 510
Financial Liabilities    
Debt and other liabilities 2,786 2,958
Ameriprise Financial [Member] | Level 3 [Member]    
Financial Assets    
Mortgage loans, net 3,178 3,372
Policy and certificate loans 806 803
Receivables 3 3
Other investments and assets 67 54
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 12,349 12,424
Investment certificate reserves 5,391 4,823
Debt and other liabilities 109 113
Ameriprise Financial [Member] | Estimate of Fair Value Measurement [Member]    
Financial Assets    
Mortgage loans, net 3,178 3,372
Policy and certificate loans 807 804
Receivables 1,516 1,473
Restricted and segregated cash 2,640 2,548
Other investments and assets 546 565
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 12,349 12,424
Investment certificate reserves 5,391 4,823
Brokerage customer deposits 3,733 3,802
Separate account liabilities [1] 4,449 4,704
Debt and other liabilities 3,129 3,273
Ameriprise Financial [Member] | Carrying value [Member]    
Financial Assets    
Mortgage loans, net 3,017 3,359
Policy and certificate loans 830 824
Receivables 1,511 1,471
Restricted and segregated cash 2,640 2,548
Other investments and assets 554 583
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 11,228 11,523
Investment certificate reserves 5,400 4,831
Brokerage customer deposits 3,733 3,802
Separate account liabilities 4,449 4,704
Debt and other liabilities $ 2,895 $ 3,173
[1] Amounts are comprised of certain investments that are measured at fair value using the NAV per share (or its equivalent) as a practical expedient. See Note 2 for further information.