Ameriprise Financial Cash Flow Statement 2009-2024 | AMP

Fifteen years of historical annual cash flow statements for Ameriprise Financial (AMP).

Annual Data | Millions of US $ except per share data

Metric Name
Net Income/Loss
Total Depreciation And Amortization - Cash Flow
Other Non-Cash Items
Total Non-Cash Items
Change In Accounts Receivable
Change In Inventories
Change In Accounts Payable
Change In Assets/Liabilities
Total Change In Assets/Liabilities
Cash Flow From Operating Activities
Net Change In Property, Plant, And Equipment
Net Change In Intangible Assets
Net Acquisitions/Divestitures
Net Change In Short-term Investments
Net Change In Long-Term Investments
Net Change In Investments - Total
Investing Activities - Other
Cash Flow From Investing Activities
Net Long-Term Debt
Net Current Debt
Debt Issuance/Retirement Net - Total
Net Common Equity Issued/Repurchased
Net Total Equity Issued/Repurchased
Total Common And Preferred Stock Dividends Paid
Financial Activities - Other
Cash Flow From Financial Activities
Net Cash Flow
Stock-Based Compensation
Common Stock Dividends Paid
202320222021202020192018201720162015201420132012201120102009
$2,556$3,149$3,417$1,534$1,893$2,098$1,480$1,313$1,687$2,000$1,475$901$1,010$1,152$737
$-154.00$-40.00$98.00$207$183$198$234$248$248$254$239$225$110$110$120
$254$474$-305.00$-117.00$-395.00$164$325$98.00$-116.00$-54.00$-157.00$356$395$478$-291.00
$100.00$434$-207.00$90.00$-212.00$362$559$346$132$200$82.00$581$505$588$-171.00
$276$39.00$-568.00$-648.00$324$-398.00$-457.00$-150.00$-277.00$-423.00$-267.00$-130.00$-260.00$-441.00$-186.00
$0$0$0$0$0$0$0$0$81.00$-37.00$-6.00$11.00$5.00$18.00$301
$354$-219.00$300$129$46.00$-100.00$206$174$82.00$137$134$171$-80.00$195$26.00
$1,786$888$691$3,493$258$692$-265.00$648$986$522$-54.00$-29.00$998$335$-2,025.00
$2,029$824$115$2,999$660$137$-516.00$672$872$199$-193.00$23.00$663$107$-1,884.00
$4,685$4,407$3,325$4,623$2,341$2,597$1,523$2,331$2,691$2,399$1,364$1,505$2,178$1,847$-1,318.00
$-184.00$-182.00$-120.00$-147.00$-143.00$-162.00$-162.00$-92.00$-133.00$-113.00$-105.00$-137.00$-100.00$-131.00$-83.00
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$0$34.00$-576.00$0$934$0$0$0$0$0$0$0$0$-866.00$0
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$-9,617.00$-13,494.00$-3,105.00$-2,648.00$-3,521.00$-369.00$103$-792.00$-392.00$-581.00$-743.00$4,352$-1,006.00$650$-6,079.00
$-9,617.00$-13,494.00$-3,105.00$-2,648.00$-3,521.00$-369.00$103$-792.00$-392.00$-581.00$-743.00$4,352$-1,006.00$650$-6,079.00
$539$59.00$-579.00$-99.00$-504.00$-56.00$-112.00$101$16.00$-21.00$46.00$202$-40.00$-387.00$-211.00
$-9,262.00$-13,583.00$-4,380.00$-2,894.00$-3,234.00$-587.00$-171.00$-783.00$-509.00$-715.00$-802.00$4,417$-1,146.00$-734.00$-6,373.00
$-1,934.00$-1,299.00$-1,029.00$-1,440.00$-1,714.00$-2,584.00$-2,179.00$-2,083.00$-2,363.00$-1,165.00$-1,037.00$-2,627.00$-2,575.00$-816.00$2,819
$0$0$0$0$0$0$0$-1.00$-1.00$-301.00$-2.00$-5.00$107$397$0
$-1,934.00$-1,299.00$-1,029.00$-1,440.00$-1,714.00$-2,584.00$-2,179.00$-2,084.00$-2,364.00$-1,466.00$-1,039.00$-2,632.00$-2,468.00$-419.00$2,819
$-2,127.00$-1,978.00$-2,029.00$-1,438.00$-1,940.00$-1,628.00$-1,470.00$-1,698.00$-1,725.00$-1,544.00$-1,465.00$-1,221.00$-1,429.00$-469.00$864
$-2,127.00$-1,978.00$-2,029.00$-1,438.00$-1,940.00$-1,628.00$-1,470.00$-1,698.00$-1,725.00$-1,544.00$-1,465.00$-1,221.00$-1,429.00$-469.00$864
$-550.00$-534.00$-511.00$-497.00$-504.00$-506.00$-491.00$-479.00$-465.00$-426.00$-401.00$-305.00$-212.00$-183.00$-164.00
$9,022$12,241$5,292$4,327$5,372$3,455$2,355$3,119$2,158$1,779$2,599$-2,184.00$2,998$-272.00$1,026
$4,411$8,430$1,723$952$1,214$-1,263.00$-1,785.00$-1,142.00$-2,396.00$-1,657.00$-306.00$-6,342.00$-1,111.00$-1,343.00$4,545
$-135.00$-814.00$666$2,690$330$739$-398.00$-15.00$-235.00$6.00$261$-410.00$-80.00$-236.00$-3,131.00
$187$170$152$146$135$144$121$134$145$130$143$134$145$158$182
$-550.00$-534.00$-511.00$-497.00$-504.00$-506.00$-491.00$-479.00$-465.00$-426.00$-401.00$-305.00$-212.00$-183.00$-164.00