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Fair Values of Assets and Liabilities - Financial Instruments Not Reported at Fair Value (Details) - USD ($)
$ in Millions
Sep. 30, 2023
Dec. 31, 2022
Dec. 31, 2021
Financial Liabilities      
Separate account liabilities - investment contracts $ 72,354 $ 73,962 [1] $ 97,491
Ameriprise Financial      
Financial Assets      
Mortgage loans, net 2,064 1,987  
Policy loans 890 847  
Ameriprise Financial | Carrying Value      
Financial Assets      
Mortgage loans, net 2,064 1,987  
Policy loans 890 847  
Receivables 9,627 10,287  
Restricted and segregated cash 851 1,583  
Other investments and assets 336 375  
Financial Liabilities      
Policyholder account balances, future policy benefits and claims 15,996 14,450  
Investment certificate reserves 12,604 9,310  
Banking and brokerage deposits 23,525 21,474  
Debt and other liabilities 3,879 3,242  
Ameriprise Financial | Carrying Value | Investment contracts      
Financial Liabilities      
Separate account liabilities - investment contracts 3,073 3,383  
Ameriprise Financial | Fair Value      
Financial Assets      
Mortgage loans, net 1,835 1,800  
Policy loans 890 847  
Receivables 8,093 8,937  
Restricted and segregated cash 851 1,583  
Other investments and assets 335 374  
Financial Liabilities      
Policyholder account balances, future policy benefits and claims 13,124 12,470  
Investment certificate reserves 12,537 9,253  
Banking and brokerage deposits 23,525 21,474  
Debt and other liabilities 3,730 3,150  
Ameriprise Financial | Fair Value | Investment contracts      
Financial Liabilities      
Separate account liabilities - investment contracts 3,073 3,383  
Ameriprise Financial | Level 1 | Fair Value      
Financial Assets      
Mortgage loans, net 0 0  
Policy loans 0 0  
Receivables 118 199  
Restricted and segregated cash 851 1,583  
Other investments and assets 0 0  
Financial Liabilities      
Policyholder account balances, future policy benefits and claims 0 0  
Investment certificate reserves 0 0  
Banking and brokerage deposits 23,502 21,474  
Debt and other liabilities 124 234  
Ameriprise Financial | Level 1 | Fair Value | Investment contracts      
Financial Liabilities      
Separate account liabilities - investment contracts 0 0  
Ameriprise Financial | Level 2 | Fair Value      
Financial Assets      
Mortgage loans, net 223 105  
Policy loans 890 847  
Receivables 1,620 1,742  
Restricted and segregated cash 0 0  
Other investments and assets 286 323  
Financial Liabilities      
Policyholder account balances, future policy benefits and claims 0 0  
Investment certificate reserves 0 0  
Banking and brokerage deposits 23 0  
Debt and other liabilities 3,600 2,909  
Ameriprise Financial | Level 2 | Fair Value | Investment contracts      
Financial Liabilities      
Separate account liabilities - investment contracts 3,073 3,383  
Ameriprise Financial | Level 3 | Fair Value      
Financial Assets      
Mortgage loans, net 1,612 1,695  
Policy loans 0 0  
Receivables 6,355 6,996  
Restricted and segregated cash 0 0  
Other investments and assets 49 51  
Financial Liabilities      
Policyholder account balances, future policy benefits and claims 13,124 12,470  
Investment certificate reserves 12,537 9,253  
Banking and brokerage deposits 0 0  
Debt and other liabilities 6 7  
Ameriprise Financial | Level 3 | Fair Value | Investment contracts      
Financial Liabilities      
Separate account liabilities - investment contracts $ 0 $ 0  
[1] Certain prior period amounts have been restated. See Note 3 for more information.