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Fair Values of Assets and Liabilities (Financial Instruments not at FV) (Details 6) - USD ($)
$ in Millions
Sep. 30, 2020
Dec. 31, 2019
Financial Liabilities    
Separate account liabilities $ 86,128 $ 87,488
Ameriprise Financial [Member]    
Financial Liabilities    
Separate account liabilities 86,128 87,488
Ameriprise Financial [Member] | Carrying Value [Member]    
Financial Assets    
Mortgage loans, net 2,770 2,778
Policy loans 849 868
Receivables 3,175 3,168
Restricted and segregated cash 2,551 2,372
Other investments and assets 750 671
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 9,600 9,110
Investment Certificate Reserves 7,156 7,508
Banking and brokerage deposits 9,666 6,929
Separate account liabilities 5,103 5,403
Debt and other liabilities 3,115 3,374
Recurring basis [Member] | Ameriprise Financial [Member]    
Financial Assets    
Mortgage loans, net 2,897 2,833
Policy loans [1] 849 868
Receivables 3,389 3,265
Restricted and segregated cash 2,551 2,372
Other investments and assets 738 672
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 11,300 10,061
Investment Certificate Reserves 6,350 7,497
Banking and brokerage deposits 9,666 6,929
Separate account liabilities 5,103 5,403
Debt and other liabilities 3,375 3,497
Recurring basis [Member] | Ameriprise Financial [Member] | Level 1 [Member]    
Financial Assets    
Receivables 57 102
Restricted and segregated cash 2,551 2,372
Financial Liabilities    
Banking and brokerage deposits 9,666 6,929
Debt and other liabilities 103 104
Recurring basis [Member] | Ameriprise Financial [Member] | Level 2 [Member]    
Financial Assets    
Mortgage loans, net 22  
Policy loans [1] 849 868
Receivables 972 934
Other investments and assets 642 626
Financial Liabilities    
Separate account liabilities 5,103 5,403
Debt and other liabilities 3,257 3,372
Recurring basis [Member] | Ameriprise Financial [Member] | Level 3 [Member]    
Financial Assets    
Mortgage loans, net 2,875 2,833
Receivables 2,360 2,229
Other investments and assets 96 46
Financial Liabilities    
Policyholder account balances, future policy benefits and claims 11,300 10,061
Investment Certificate Reserves 6,350 7,497
Debt and other liabilities $ 15 $ 21
[1] During the third quarter of 2020, management changed the fair value methodology for policy loans from estimating future expected cash flows and discounting the cash flows at a rate based on the U.S. Treasury curve to using the carrying value as an approximation of fair value as the policy loans are fully collateralized by the cash surrender value of the underlying policies. As a result, policy loans were reclassified from Level 3 to Level 2 in the valuation hierarchy. For comparability and consistency purposes, prior period amounts were revised to reflect the current methodology and classification.