XML 105 R95.htm IDEA: XBRL DOCUMENT v3.24.2.u1
Fair Values of Assets and Liabilities - Financial Instruments Not Reported at Fair Value (Details) - USD ($)
$ in Millions
Jun. 30, 2024
Dec. 31, 2023
Dec. 31, 2022
Financial Liabilities      
Separate account liabilities - investment contracts $ 79,098 $ 77,457 $ 73,962
Ameriprise Financial      
Financial Assets      
Mortgage loans, net 2,233 2,118  
Policy loans 947 912  
Ameriprise Financial | Carrying Value      
Financial Assets      
Mortgage loans, net 2,233 2,118  
Policy loans 947 912  
Receivables 9,540 9,453  
Restricted and segregated cash 688 936  
Other investments and assets 301 338  
Financial Liabilities      
Policyholder account balances, future policy benefits and claims 18,370 16,641  
Investment certificate reserves 12,517 13,461  
Banking and brokerage deposits 23,742 23,886  
Debt and other liabilities 4,067 3,769  
Ameriprise Financial | Carrying Value | Investment contracts      
Financial Liabilities      
Separate account liabilities - investment contracts 3,118 3,155  
Ameriprise Financial | Fair Value      
Financial Assets      
Mortgage loans, net 2,082 1,972  
Policy loans 947 912  
Receivables 8,299 8,344  
Restricted and segregated cash 688 936  
Other investments and assets 302 338  
Financial Liabilities      
Policyholder account balances, future policy benefits and claims 15,524 14,243  
Investment certificate reserves 12,466 13,420  
Banking and brokerage deposits 23,742 23,886  
Debt and other liabilities 4,029 3,781  
Ameriprise Financial | Fair Value | Investment contracts      
Financial Liabilities      
Separate account liabilities - investment contracts 3,118 3,155  
Ameriprise Financial | Level 1 | Fair Value      
Financial Assets      
Mortgage loans, net 0 0  
Policy loans 0 0  
Receivables 441 146  
Restricted and segregated cash 688 936  
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 23,742 23,886  
Debt and other liabilities 464 166  
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 363 280  
Policy loans 947 912  
Receivables 1,702 1,621  
Restricted and segregated cash 0 0  
Other investments and assets 246 283  
Financial Liabilities      
Policyholder account balances, future policy benefits and claims 0 0  
Investment certificate reserves 0 0  
Banking and brokerage deposits 0 0  
Debt and other liabilities 3,561 3,610  
Ameriprise Financial | Level 2 | Fair Value | Investment contracts      
Financial Liabilities      
Separate account liabilities - investment contracts 3,118 3,155  
Ameriprise Financial | Level 3 | Fair Value      
Financial Assets      
Mortgage loans, net 1,719 1,692  
Policy loans 0 0  
Receivables 6,156 6,577  
Restricted and segregated cash 0 0  
Other investments and assets 56 55  
Financial Liabilities      
Policyholder account balances, future policy benefits and claims 15,524 14,243  
Investment certificate reserves 12,466 13,420  
Banking and brokerage deposits 0 0  
Debt and other liabilities 4 5  
Ameriprise Financial | Level 3 | Fair Value | Investment contracts      
Financial Liabilities      
Separate account liabilities - investment contracts $ 0 $ 0