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Ameriprise Financial Services (AMP)

Ameriprise Financial Services (AMP)
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Financial Summary for [[ item.sessionDateDisplayLong ]]
Ameriprise Financial, Inc. has been operating independently of American Express Company. Ameriprise has 4 business segments. The Advice & Wealth Management segment provides financial planning and advice, as well as full service brokerage and banking services, primarily to retail clients through the company's affiliated financial advisors. The Asset Management segment provides investment advice and investment products to retail, high net worth and institutional clients on a global scale through Columbia Management and Threadneedle Asset Management Holdings S'rl. The Retirement & Protection Solutions segment includes Retirement Solutions (Variable Annuities and Payout Annuities) and Protection Solutions (Life and Disability Insurance). Ameriprise realizes net investment income on corporate level assets from its Corporate & Other segment. This includes excess capital held in RiverSource Life and other unallocated equity and revenues from various investments, as well as unallocated corporate expenses.

Fiscal Year End Date: 12/31

(Values in U.S. Thousands) Mar, 2026 Dec, 2025 Sep, 2025 Jun, 2025 Mar, 2025
Sales 4,812,000 4,960,000 4,791,000 4,375,000 4,354,000
Sales Growth -2.98% +3.53% +9.51% +0.48% -3.27%
Net Income 915,000 1,008,000 912,000 1,060,000 583,000
Net Income Growth -9.23% +10.53% -13.96% +81.82% -45.56%
(Values in U.S. Thousands) Mar, 2026 Dec, 2025 Sep, 2025 Jun, 2025 Mar, 2025
Total Assets 184,448,000 190,904,000 190,086,000 184,903,000 179,059,000
Total Assets Growth -3.38% +0.43% +2.80% +3.26% -1.29%
Total Liabilities 178,236,000 184,355,000 183,631,000 178,821,000 173,633,000
Total Liabilities Growth -3.32% +0.39% +2.69% +2.99% -1.44%
(Values in U.S. Thousands) Mar, 2026 Dec, 2025 Sep, 2025 Jun, 2025 Mar, 2025
Operating Cash Flow 459,000 8,323,000 5,654,000 3,450,000 1,686,000
Operating Cash Flow Growth -94.49% +47.21% +63.88% +104.63% -74.44%
Net Cash Flow -1,765,000 1,669,000 1,463,000 121,000 -530,000
Change in Net Cash Flow -205.75% +14.08% +1,109.09% +122.83% -160.99%
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