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Fair Values of Assets and Liabilities - Recurring Basis (Details) - USD ($)
$ in Millions
Mar. 31, 2023
Dec. 31, 2022
Mar. 31, 2022
Dec. 31, 2021
Assets        
Separate account assets at NAV $ 75,941 $ 73,962 [1]    
Market risk benefits 990 1,015 [1] $ 742 $ 539
Liabilities        
Liabilities embedded derivatives, net 966 653    
Market risk benefits 2,123 2,118 [1] $ 2,583 $ 3,440
Ameriprise Financial        
Assets        
Available-for-Sale securities, at fair value 44,883 40,811    
Ameriprise Financial | Corporate debt securities        
Assets        
Available-for-Sale securities, at fair value 10,510 9,698    
Ameriprise Financial | Residential mortgage backed securities        
Assets        
Available-for-Sale securities, at fair value 17,663 15,703    
Ameriprise Financial | Commercial mortgage backed securities        
Assets        
Available-for-Sale securities, at fair value 6,465 6,212    
Ameriprise Financial | Asset backed securities        
Assets        
Available-for-Sale securities, at fair value 7,244 6,264    
Ameriprise Financial | State and municipal obligations        
Assets        
Available-for-Sale securities, at fair value 820 797    
Ameriprise Financial | U.S. government and agencies obligations        
Assets        
Available-for-Sale securities, at fair value 2,136 2,079    
Ameriprise Financial | Foreign government bonds and obligations        
Assets        
Available-for-Sale securities, at fair value 28 41    
Ameriprise Financial | Other securities        
Assets        
Available-for-Sale securities, at fair value 17 17    
Ameriprise Financial | Policyholder account balances, future policy benefits and claims embedded derivatives        
Liabilities        
Cumulative increase (decrease) in embedded derivatives of adjustment for nonperformance risk (200) (139)    
Ameriprise Financial | Level 3 | Corporate debt securities        
Assets        
Available-for-Sale securities, at fair value 439 404    
Ameriprise Financial | Level 3 | Asset backed securities        
Assets        
Available-for-Sale securities, at fair value 1 1    
Ameriprise Financial | Level 3 | Fixed deferred indexed annuities ceded embedded derivatives        
Assets        
Receivables: embedded derivatives 48 48    
Ameriprise Financial | Level 3 | Fixed deferred indexed annuities embedded derivatives        
Liabilities        
Liabilities embedded derivatives 44 44    
Ameriprise Financial | Level 3 | IUL embedded derivatives        
Liabilities        
Liabilities embedded derivatives 771 739    
Ameriprise Financial | Level 3 | Structured variable annuity embedded derivatives        
Liabilities        
Liabilities embedded derivatives, net 142 (137)    
Ameriprise Financial | Recurring basis        
Assets        
Cash equivalents 5,867 5,103    
Available-for-Sale securities, at fair value 44,883 40,811    
Investments at net asset value 10 9    
Trading and other securities 238 227    
Separate account assets at NAV 75,941 73,962    
Investments and cash equivalents segregated for regulatory purposes 694 646    
Market risk benefits 990 1,015    
Other assets: derivative contracts 3,634 3,020    
Total assets at fair value 132,305 124,841    
Liabilities        
Market risk benefits 2,123 2,118    
Other 288 272    
Other liabilities 3,380 3,020    
Total liabilities at fair value 6,469 5,791    
Ameriprise Financial | Recurring basis | Corporate debt securities        
Assets        
Available-for-Sale securities, at fair value 10,510 9,698    
Ameriprise Financial | Recurring basis | Residential mortgage backed securities        
Assets        
Available-for-Sale securities, at fair value 17,663 15,703    
Ameriprise Financial | Recurring basis | Commercial mortgage backed securities        
Assets        
Available-for-Sale securities, at fair value 6,465 6,212    
Ameriprise Financial | Recurring basis | Asset backed securities        
Assets        
Available-for-Sale securities, at fair value 7,244 6,264    
Ameriprise Financial | Recurring basis | State and municipal obligations        
Assets        
Available-for-Sale securities, at fair value 820 797    
Ameriprise Financial | Recurring basis | U.S. government and agencies obligations        
Assets        
Available-for-Sale securities, at fair value 2,136 2,079    
Ameriprise Financial | Recurring basis | Foreign government bonds and obligations        
Assets        
Available-for-Sale securities, at fair value 28 41    
Ameriprise Financial | Recurring basis | Other securities        
Assets        
Available-for-Sale securities, at fair value 17 17    
Ameriprise Financial | Recurring basis | Fixed deferred indexed annuities ceded embedded derivatives        
Assets        
Receivables: embedded derivatives 48 48    
Ameriprise Financial | Recurring basis | Policyholder account balances, future policy benefits and claims embedded derivatives        
Liabilities        
Liabilities embedded derivatives, net 960 649    
Ameriprise Financial | Recurring basis | Fixed deferred indexed annuities embedded derivatives        
Liabilities        
Liabilities embedded derivatives 47 47    
Ameriprise Financial | Recurring basis | IUL embedded derivatives        
Liabilities        
Liabilities embedded derivatives 771 739    
Ameriprise Financial | Recurring basis | Structured variable annuity embedded derivatives        
Liabilities        
Liabilities embedded derivatives, net 142 (137)    
Ameriprise Financial | Recurring basis | Customer deposits - SMC embedded derivatives        
Liabilities        
Liabilities embedded derivatives 6 4    
Ameriprise Financial | Recurring basis | Interest rate derivative contracts        
Assets        
Other assets: derivative contracts 336 267    
Liabilities        
Other liabilities: derivative contracts 327 355    
Ameriprise Financial | Recurring basis | Equity derivative contracts        
Assets        
Other assets: derivative contracts 3,260 2,704    
Liabilities        
Other liabilities: derivative contracts 2,709 2,377    
Ameriprise Financial | Recurring basis | Credit derivative contracts        
Assets        
Other assets: derivative contracts 1 13    
Liabilities        
Other liabilities: derivative contracts   2    
Other liabilities 52      
Ameriprise Financial | Recurring basis | Foreign exchange derivative contracts        
Assets        
Other assets: derivative contracts 37 36    
Liabilities        
Other liabilities: derivative contracts 4 14    
Ameriprise Financial | Recurring basis | Level 1        
Assets        
Cash equivalents 1,421 1,268    
Available-for-Sale securities, at fair value 2,136 2,079    
Trading and other securities 222 211    
Investments and cash equivalents segregated for regulatory purposes 694 646    
Market risk benefits 0 0    
Other assets: derivative contracts 151 136    
Total assets at fair value 4,624 4,340    
Liabilities        
Market risk benefits 0 0    
Other 215 205    
Other liabilities 405 354    
Total liabilities at fair value 405 354    
Ameriprise Financial | Recurring basis | Level 1 | Corporate debt securities        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 1 | Residential mortgage backed securities        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 1 | Commercial mortgage backed securities        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 1 | Asset backed securities        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 1 | State and municipal obligations        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 1 | U.S. government and agencies obligations        
Assets        
Available-for-Sale securities, at fair value 2,136 2,079    
Ameriprise Financial | Recurring basis | Level 1 | Foreign government bonds and obligations        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 1 | Other securities        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 1 | Fixed deferred indexed annuities ceded embedded derivatives        
Assets        
Receivables: embedded derivatives 0 0    
Ameriprise Financial | Recurring basis | Level 1 | Policyholder account balances, future policy benefits and claims embedded derivatives        
Liabilities        
Liabilities embedded derivatives, net 0 0    
Ameriprise Financial | Recurring basis | Level 1 | Fixed deferred indexed annuities embedded derivatives        
Liabilities        
Liabilities embedded derivatives 0 0    
Ameriprise Financial | Recurring basis | Level 1 | IUL embedded derivatives        
Liabilities        
Liabilities embedded derivatives 0 0    
Ameriprise Financial | Recurring basis | Level 1 | Structured variable annuity embedded derivatives        
Liabilities        
Liabilities embedded derivatives, net 0 0    
Ameriprise Financial | Recurring basis | Level 1 | Customer deposits - SMC embedded derivatives        
Liabilities        
Liabilities embedded derivatives 0 0    
Ameriprise Financial | Recurring basis | Level 1 | Interest rate derivative contracts        
Assets        
Other assets: derivative contracts 6 7    
Liabilities        
Other liabilities: derivative contracts 9 4    
Ameriprise Financial | Recurring basis | Level 1 | Equity derivative contracts        
Assets        
Other assets: derivative contracts 140 129    
Liabilities        
Other liabilities: derivative contracts 181 139    
Ameriprise Financial | Recurring basis | Level 1 | Credit derivative contracts        
Assets        
Other assets: derivative contracts 0 0    
Liabilities        
Other liabilities: derivative contracts   0    
Other liabilities 0      
Ameriprise Financial | Recurring basis | Level 1 | Foreign exchange derivative contracts        
Assets        
Other assets: derivative contracts 5 0    
Liabilities        
Other liabilities: derivative contracts 0 6    
Ameriprise Financial | Recurring basis | Level 2        
Assets        
Cash equivalents 4,446 3,835    
Available-for-Sale securities, at fair value 42,302 38,321    
Trading and other securities 16 16    
Investments and cash equivalents segregated for regulatory purposes 0 0    
Market risk benefits 0 0    
Other assets: derivative contracts 3,483 2,884    
Total assets at fair value 50,247 45,056    
Liabilities        
Market risk benefits 0 0    
Other 3 5    
Other liabilities 2,905 2,604    
Total liabilities at fair value 2,914 2,611    
Ameriprise Financial | Recurring basis | Level 2 | Corporate debt securities        
Assets        
Available-for-Sale securities, at fair value 10,070 9,293    
Ameriprise Financial | Recurring basis | Level 2 | Residential mortgage backed securities        
Assets        
Available-for-Sale securities, at fair value 17,663 15,703    
Ameriprise Financial | Recurring basis | Level 2 | Commercial mortgage backed securities        
Assets        
Available-for-Sale securities, at fair value 6,465 6,212    
Ameriprise Financial | Recurring basis | Level 2 | Asset backed securities        
Assets        
Available-for-Sale securities, at fair value 7,239 6,258    
Ameriprise Financial | Recurring basis | Level 2 | State and municipal obligations        
Assets        
Available-for-Sale securities, at fair value 820 797    
Ameriprise Financial | Recurring basis | Level 2 | U.S. government and agencies obligations        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 2 | Foreign government bonds and obligations        
Assets        
Available-for-Sale securities, at fair value 28 41    
Ameriprise Financial | Recurring basis | Level 2 | Other securities        
Assets        
Available-for-Sale securities, at fair value 17 17    
Ameriprise Financial | Recurring basis | Level 2 | Fixed deferred indexed annuities ceded embedded derivatives        
Assets        
Receivables: embedded derivatives 0 0    
Ameriprise Financial | Recurring basis | Level 2 | Policyholder account balances, future policy benefits and claims embedded derivatives        
Liabilities        
Liabilities embedded derivatives, net 3 3    
Ameriprise Financial | Recurring basis | Level 2 | Fixed deferred indexed annuities embedded derivatives        
Liabilities        
Liabilities embedded derivatives 3 3    
Ameriprise Financial | Recurring basis | Level 2 | IUL embedded derivatives        
Liabilities        
Liabilities embedded derivatives 0 0    
Ameriprise Financial | Recurring basis | Level 2 | Structured variable annuity embedded derivatives        
Liabilities        
Liabilities embedded derivatives, net 0 0    
Ameriprise Financial | Recurring basis | Level 2 | Customer deposits - SMC embedded derivatives        
Liabilities        
Liabilities embedded derivatives 6 4    
Ameriprise Financial | Recurring basis | Level 2 | Interest rate derivative contracts        
Assets        
Other assets: derivative contracts 330 260    
Liabilities        
Other liabilities: derivative contracts 318 351    
Ameriprise Financial | Recurring basis | Level 2 | Equity derivative contracts        
Assets        
Other assets: derivative contracts 3,120 2,575    
Liabilities        
Other liabilities: derivative contracts 2,528 2,238    
Ameriprise Financial | Recurring basis | Level 2 | Credit derivative contracts        
Assets        
Other assets: derivative contracts 1 13    
Liabilities        
Other liabilities: derivative contracts   2    
Other liabilities 52      
Ameriprise Financial | Recurring basis | Level 2 | Foreign exchange derivative contracts        
Assets        
Other assets: derivative contracts 32 36    
Liabilities        
Other liabilities: derivative contracts 4 8    
Ameriprise Financial | Recurring basis | Level 3        
Assets        
Cash equivalents 0 0    
Available-for-Sale securities, at fair value 445 411    
Trading and other securities 0 0    
Investments and cash equivalents segregated for regulatory purposes 0 0    
Market risk benefits 990 1,015    
Other assets: derivative contracts 0 0    
Total assets at fair value 1,483 1,474    
Liabilities        
Market risk benefits 2,123 2,118    
Other 70 62    
Other liabilities 70 62    
Total liabilities at fair value 3,150 2,826    
Ameriprise Financial | Recurring basis | Level 3 | Corporate debt securities        
Assets        
Available-for-Sale securities, at fair value 440 405    
Ameriprise Financial | Recurring basis | Level 3 | Residential mortgage backed securities        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 3 | Commercial mortgage backed securities        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 3 | Asset backed securities        
Assets        
Available-for-Sale securities, at fair value 5 6    
Ameriprise Financial | Recurring basis | Level 3 | State and municipal obligations        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 3 | U.S. government and agencies obligations        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 3 | Foreign government bonds and obligations        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 3 | Other securities        
Assets        
Available-for-Sale securities, at fair value 0 0    
Ameriprise Financial | Recurring basis | Level 3 | Fixed deferred indexed annuities ceded embedded derivatives        
Assets        
Receivables: embedded derivatives 48 48    
Ameriprise Financial | Recurring basis | Level 3 | Policyholder account balances, future policy benefits and claims embedded derivatives        
Liabilities        
Liabilities embedded derivatives, net 957 646    
Ameriprise Financial | Recurring basis | Level 3 | Fixed deferred indexed annuities embedded derivatives        
Liabilities        
Liabilities embedded derivatives 44 44    
Ameriprise Financial | Recurring basis | Level 3 | IUL embedded derivatives        
Liabilities        
Liabilities embedded derivatives 771 739    
Ameriprise Financial | Recurring basis | Level 3 | Structured variable annuity embedded derivatives        
Liabilities        
Liabilities embedded derivatives, net 142 (137)    
Ameriprise Financial | Recurring basis | Level 3 | Customer deposits - SMC embedded derivatives        
Liabilities        
Liabilities embedded derivatives 0 0    
Ameriprise Financial | Recurring basis | Level 3 | Interest rate derivative contracts        
Assets        
Other assets: derivative contracts 0 0    
Liabilities        
Other liabilities: derivative contracts 0 0    
Ameriprise Financial | Recurring basis | Level 3 | Equity derivative contracts        
Assets        
Other assets: derivative contracts 0 0    
Liabilities        
Other liabilities: derivative contracts 0 0    
Ameriprise Financial | Recurring basis | Level 3 | Credit derivative contracts        
Assets        
Other assets: derivative contracts 0 0    
Liabilities        
Other liabilities: derivative contracts   0    
Other liabilities 0      
Ameriprise Financial | Recurring basis | Level 3 | Foreign exchange derivative contracts        
Assets        
Other assets: derivative contracts 0 0    
Liabilities        
Other liabilities: derivative contracts $ 0 $ 0    
[1] Certain prior period amounts have been restated. See Note 3 for more information.