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Fair Values of Assets and Liabilities (Financial Instruments not at FV) (Details 5) - USD ($)
$ in Millions
Mar. 31, 2018
Dec. 31, 2017
Financial Liabilities    
Separate account liabilities at NAV $ 85,847 $ 87,368
Ameriprise Financial [Member]    
Financial Liabilities    
Separate account liabilities at NAV 85,847 87,368
Ameriprise Financial [Member] | Carrying Value [Member]    
Financial Assets    
Mortgage loans, net 2,721 2,756
Policy and certificate loans 844 845
Receivables 1,579 1,537
Restricted and segregated cash 2,270 2,524
Other investments and other assets 752 725 [1]
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 10,074 10,246
Investment certificate reserves 6,535 6,390
Brokerage customer deposits 3,708 3,915
Separate account liabilities at NAV 5,363 5,177
Debt and other Liabilities 3,266 3,290
Recurring basis [Member] | Ameriprise Financial [Member]    
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]    
Certificates of deposit with original or remaining maturities at the time of purchase of more than 90 days but less then 12 months   205
Financial Assets    
Mortgage loans, net 2,697 2,752
Policy and certificate loans 799 801
Receivables 1,572 1,536
Restricted and segregated cash 2,270 2,524
Other investments and other assets 756 726 [1]
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 10,295 10,755
Investment certificate reserves 6,506 6,374
Brokerage customer deposits 3,708 3,915
Separate account liabilities at NAV [2] 5,363 5,177
Debt and other Liabilities 3,316 3,417
Recurring basis [Member] | Ameriprise Financial [Member] | Level 1 [Member]    
Financial Assets    
Receivables 115 103
Restricted and segregated cash 2,270 2,524
Financial Liabilities    
Brokerage customer deposits 3,708 3,915
Debt and other Liabilities 114 118
Recurring basis [Member] | Ameriprise Financial [Member] | Level 2 [Member]    
Financial Assets    
Receivables 977 946
Other investments and other assets 702 677 [1]
Financial Liabilities    
Debt and other Liabilities 3,102 3,180
Recurring basis [Member] | Ameriprise Financial [Member] | Level 3 [Member]    
Financial Assets    
Mortgage loans, net 2,697 2,752
Policy and certificate loans 799 801
Receivables 480 487
Other investments and other assets 54 49 [1]
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 10,295 10,755
Investment certificate reserves 6,506 6,374
Debt and other Liabilities $ 100 $ 119
[1] Amounts have been corrected to include certificates of deposit with original or remaining maturities at the time of purchase of more than 90 days but less than 12 months of $205 million as of December 31, 2017. The certificates of deposit are classified as Level 2 and recorded at cost, which is a reasonable estimate of fair value because of the short time between the purchase of the instrument and its expected realization.
[2] Amounts are comprised of certain financial instruments 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.