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Fair Values of Assets and Liabilities (Financial Instruments not at FV) (Details 5) - USD ($)
$ in Millions
Sep. 30, 2017
Dec. 31, 2016
Financial Liabilities    
Separate account liabilities measured at NAV $ 85,287 $ 80,210
Ameriprise Financial [Member]    
Financial Liabilities    
Separate account liabilities measured at NAV 85,287 80,210
Ameriprise Financial [Member] | Carrying Value [Member]    
Financial Assets    
Mortgage Loans, Net 2,749 2,986
Policy and certificate loans 841 831
Receivables 1,595 1,396 [1]
Restricted and segregated cash 2,707 2,905
Other investments and assets 511 508
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 10,415 10,906
Investment certificate reserves 6,364 5,927
Brokerage customer deposits 4,065 4,112
Separate account liabilities measured at NAV 4,989 4,253
Debt and other Liabilities 3,395 3,371
Recurring basis [Member] | Ameriprise Financial [Member]    
Financial Assets    
Mortgage Loans, Net 2,768 2,972
Policy and certificate loans 798 808
Receivables 1,595 1,400 [1]
Restricted and segregated cash 2,707 2,905
Other investments and assets 510 510
Fair value of advisor loans moved from Level 2 to Level 3   400
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 11,052 11,417
Investment certificate reserves 6,351 5,914
Brokerage customer deposits 4,065 4,112
Separate account liabilities measured at NAV [2] 4,989 4,253
Debt and other Liabilities 3,539 3,491
Recurring basis [Member] | Ameriprise Financial [Member] | Level 1 [Member]    
Financial Assets    
Receivables 196 127 [1]
Restricted and segregated cash 2,707 2,905
Financial Liabilities    
Brokerage customer deposits 4,065 4,112
Debt and other Liabilities 202 146
Recurring basis [Member] | Ameriprise Financial [Member] | Level 2 [Member]    
Financial Assets    
Policy and certificate loans 1 1
Receivables 942 870 [1]
Other investments and assets 439 449
Financial Liabilities    
Debt and other Liabilities 3,197 3,176
Recurring basis [Member] | Ameriprise Financial [Member] | Level 3 [Member]    
Financial Assets    
Mortgage Loans, Net 2,768 2,972
Policy and certificate loans 797 807
Receivables 457 403 [1]
Other investments and assets 71 61
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 11,052 11,417
Investment certificate reserves 6,351 5,914
Debt and other Liabilities $ 140 $ 169
[1] In the third quarter of 2017, the Company corrected the classification of the fair value of advisor loans, net from Level 2 to Level 3 as the valuation includes a significant unobservable input. The fair value levels at December 31, 2016 have been revised to reflect this change. The fair value of advisor loans, net was $400 million at December 31, 2016.
[2] Amounts are comprised of certain investments that are measured at fair value using the NAV per share (or its equivalent) as a practical expedient and have not been classified in the fair value hierarchy.