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Fair Values of Assets and Liabilities (Details 5) (USD $)
In Millions, unless otherwise specified
Dec. 31, 2011
Dec. 31, 2010
Financial Assets    
Restricted and segregated cash $ 79 $ 110
Ameriprise Financial
   
Financial Liabilities    
Future policy benefits and claims 31,723 30,208
Investment certificate reserves 2,772 3,141
Separate account liabilities 66,780 68,330
Carrying Value | Ameriprise Financial
   
Financial Assets    
Commercial mortgage loans, net 2,589 2,577
Policy loans 742 733
Receivables 2,444 1,852
Restricted and segregated cash 1,500 1,516
Assets held for sale   18
Other investments and assets 390 331
Financial Liabilities    
Future policy benefits and claims 15,064 15,328
Investment certificate reserves 2,766 3,127
Banking and brokerage customer deposits 7,078 5,638
Separate account liabilities 3,950 4,930
Debt and other liabilities 3,180 2,722
Fair Value | Ameriprise Financial
   
Financial Assets    
Commercial mortgage loans, net 2,772 2,671
Policy loans 715 808
Receivables 2,148 1,566
Restricted and segregated cash 1,500 1,516
Assets held for sale   18
Other investments and assets 388 338
Financial Liabilities    
Future policy benefits and claims 16,116 15,768
Investment certificate reserves 2,752 3,129
Banking and brokerage customer deposits 7,091 5,642
Separate account liabilities 3,950 4,930
Debt and other liabilities $ 3,412 $ 2,919