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Fair Values of Assets and Liabilities - Financial Instruments Not Reported at Fair Value (Details) - USD ($)
$ in Millions
Mar. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Financial Liabilities      
Separate account liabilities - investment contracts $ 75,572 $ 78,114 $ 77,457
Ameriprise Financial      
Financial Assets      
Mortgage loans, net 2,423 2,354  
Policy loans 991 982  
Ameriprise Financial | Carrying Value      
Financial Assets      
Mortgage loans, net 2,423 2,354  
Policy loans 991 982  
Receivables 9,447 9,236  
Restricted and segregated cash 747 887  
Other investments and assets 268 272  
Financial Liabilities      
Policyholder account balances, future policy benefits and claims 20,799 20,097  
Investment certificate reserves 10,679 11,205  
Banking and brokerage deposits 24,977 24,639  
Debt and other liabilities 4,193 3,326  
Ameriprise Financial | Carrying Value | Investment contracts      
Financial Liabilities      
Separate account liabilities - investment contracts 2,808 2,902  
Ameriprise Financial | Fair Value      
Financial Assets      
Mortgage loans, net 2,306 2,201  
Policy loans 991 982  
Receivables 8,477 8,061  
Restricted and segregated cash 747 887  
Other investments and assets 269 273  
Financial Liabilities      
Policyholder account balances, future policy benefits and claims 18,100 16,826  
Investment certificate reserves 10,653 11,183  
Banking and brokerage deposits 24,977 24,639  
Debt and other liabilities 4,203 3,309  
Ameriprise Financial | Fair Value | Investment contracts      
Financial Liabilities      
Separate account liabilities - investment contracts 2,808 2,902  
Ameriprise Financial | Level 1 | Fair Value      
Financial Assets      
Mortgage loans, net 0 0  
Policy loans 0 0  
Receivables 351 218  
Restricted and segregated cash 747 887  
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 24,972 24,639  
Debt and other liabilities 393 274  
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 467 433  
Policy loans 991 982  
Receivables 1,957 1,879  
Restricted and segregated cash 0 0  
Other investments and assets 217 220  
Financial Liabilities      
Policyholder account balances, future policy benefits and claims 0 0  
Investment certificate reserves 0 0  
Banking and brokerage deposits 5 0  
Debt and other liabilities 3,806 3,031  
Ameriprise Financial | Level 2 | Fair Value | Investment contracts      
Financial Liabilities      
Separate account liabilities - investment contracts 2,808 2,902  
Ameriprise Financial | Level 3 | Fair Value      
Financial Assets      
Mortgage loans, net 1,839 1,768  
Policy loans 0 0  
Receivables 6,169 5,964  
Restricted and segregated cash 0 0  
Other investments and assets 52 53  
Financial Liabilities      
Policyholder account balances, future policy benefits and claims 18,100 16,826  
Investment certificate reserves 10,653 11,183  
Banking and brokerage deposits 0 0  
Debt and other liabilities 4 4  
Ameriprise Financial | Level 3 | Fair Value | Investment contracts      
Financial Liabilities      
Separate account liabilities - investment contracts $ 0 $ 0