US Stock MarketDetailed Quotes

AMP Ameriprise Financial

Watchlist
  • 525.760
  • +1.830+0.35%
Close Dec 19 16:00 ET
  • 525.000
  • -0.760-0.14%
Post 20:01 ET
51.01BMarket Cap20.10P/E (TTM)

Ameriprise Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
229.51%3.05B
206.60%1.72B
36.74%1.44B
6.31%4.69B
76.09%2.14B
-32.58%925M
-60.18%561M
158.19%1.06B
32.54%4.41B
-21.53%1.22B
Net income from continuing operations
-41.40%511M
-6.85%829M
137.41%990M
-18.83%2.56B
-41.91%377M
-17.81%872M
44.95%890M
-49.45%417M
-7.84%3.15B
-52.21%649M
Operating gains losses
-96.92%2M
-41.67%7M
300.00%4M
29.41%88M
-71.43%10M
282.35%65M
-36.84%12M
133.33%1M
111.89%68M
218.18%35M
Deferred tax
-293.48%-89M
-71.30%31M
572.92%227M
-88.39%18M
35.77%-88M
-71.25%46M
376.92%108M
-128.07%-48M
70.33%155M
-589.29%-137M
Other non cash items
----
----
-120.00%-1M
-116.33%-16M
-120.00%-1M
-107.14%-6M
---14M
--5M
2,350.00%98M
150.00%5M
Change in working capital
4,927.78%2.61B
290.81%851M
-66.57%224M
148.57%2.01B
182.03%1.84B
-437.50%-54M
-158.99%-446M
208.77%670M
497.78%807M
438.02%651M
-Change In restricted cash
42.50%-184M
1.19%340M
-28.46%-158M
91.67%-8M
-34.00%99M
-566.67%-320M
554.05%336M
0.81%-123M
-484.00%-96M
19.05%150M
-Change in receivables
271.61%266M
----
----
607.69%276M
-127.12%-48M
-268.48%-155M
266.42%223M
366.67%256M
106.87%39M
185.10%177M
-Change in loss and loss adjustment expense reserves
2,255.13%1.84B
1,350.00%1.16B
-58.25%448M
392.94%3.07B
515.38%1.84B
558.82%78M
-86.14%80M
554.66%1.07B
-42.84%623M
455.95%299M
-Change in deferred acquisition costs
-33.33%8M
-58.82%7M
-47.83%12M
-4.48%64M
-36.84%12M
-20.00%12M
-5.56%17M
53.33%23M
937.50%67M
-84.17%19M
-Change in payables and accrued expense
61.54%189M
32.53%220M
-99.09%-436M
261.64%354M
48.72%290M
164.64%117M
-27.19%166M
52.49%-219M
-173.00%-219M
26.62%195M
-Change in funds withheld
800.00%357M
19.20%-202M
128.66%90M
-126.38%-781M
6.21%-166M
73.98%-51M
-171.74%-250M
-361.67%-314M
-1,426.92%-345M
-349.30%-177M
-Change in other working capital
-49.43%134M
38.21%-629M
1,130.77%268M
-231.44%-970M
-1,491.67%-191M
-24.50%265M
-536.91%-1.02B
-115.66%-26M
201.10%738M
79.31%-12M
Cash from discontinued operating activities
Operating cash flow
229.51%3.05B
206.60%1.72B
36.74%1.44B
6.31%4.69B
76.09%2.14B
-32.58%925M
-60.18%561M
158.19%1.06B
32.54%4.41B
-21.53%1.22B
Investing cash flow
Cash flow from continuing investing activities
148.03%635M
105.78%166M
81.91%-569M
31.81%-9.26B
55.78%-1.92B
71.56%-1.32B
1.81%-2.87B
-88.95%-3.15B
-210.11%-13.58B
-44.40%-4.34B
Net investment purchase and sale
153.41%767M
106.71%201M
78.08%-734M
28.16%-9.72B
55.65%-1.94B
67.89%-1.44B
-1.63%-3B
-92.36%-3.35B
-346.22%-13.53B
-84.95%-4.36B
Net proceeds payment for loan
-112.90%-66M
-110.81%-78M
-236.36%-37M
-247.37%-132M
-2,550.00%-53M
-444.44%-31M
-42.31%-37M
42.11%-11M
-205.56%-38M
95.00%-2M
Net PPE purchase and sale
2.00%-49M
60.47%-17M
-26.83%-52M
-1.10%-184M
10.71%-50M
-19.05%-50M
-7.50%-43M
6.82%-41M
-51.67%-182M
-64.71%-56M
Net business purchase and sale
-351.92%-131M
-296.97%-65M
75.00%105M
169.23%216M
244.90%71M
121.49%52M
335.71%33M
957.14%60M
72.44%-312M
90.60%-49M
Net other investing changes
-20.28%114M
-26.47%125M
-23.59%149M
17.09%555M
-63.28%47M
45.92%143M
66.67%170M
33.56%195M
456.39%474M
341.51%128M
Cash from discontinued investing activities
Investing cash flow
148.03%635M
105.78%166M
81.91%-569M
31.81%-9.26B
55.78%-1.92B
71.56%-1.32B
1.81%-2.87B
-88.95%-3.15B
-210.11%-13.58B
-44.40%-4.34B
Financing cash flow
Cash flow from continuing financing activities
-264.29%-1.17B
-192.69%-1.1B
-145.26%-1.43B
-47.67%4.41B
-82.81%381M
-108.93%-322M
-43.03%1.19B
510.42%3.16B
389.26%8.43B
51.43%2.22B
Net issuance payments of debt
-2.86%-108M
501.49%269M
-109.04%-64M
-6.83%300M
-3,833.33%-236M
-130.97%-105M
-113.62%-67M
240.76%708M
-47.13%322M
14.29%-6M
Net common stock issuance
-6.79%-582M
-15.06%-573M
-1.78%-628M
-7.53%-2.13B
4.30%-467M
-8.78%-545M
-11.16%-498M
-14.05%-617M
2.56%-1.98B
13.32%-488M
Cash dividends paid
-4.32%-145M
-4.26%-147M
-2.99%-138M
-3.00%-550M
-2.26%-136M
-2.96%-139M
-2.92%-141M
-3.88%-134M
-4.50%-534M
-4.72%-133M
Proceeds from stock option exercised by employees
----
----
----
--0
----
----
----
----
--0
----
Net other financing charges
-172.38%-338M
-134.39%-652M
-118.75%-601M
-36.08%6.79B
-57.10%1.22B
-88.03%467M
-13.11%1.9B
89.53%3.21B
190.64%10.62B
31.67%2.84B
Cash from discontinued financing activities
Financing cash flow
-264.29%-1.17B
-192.69%-1.1B
-145.26%-1.43B
-47.67%4.41B
-82.81%381M
-108.93%-322M
-43.03%1.19B
510.42%3.16B
389.26%8.43B
51.43%2.22B
Net cash flow
Beginning cash position
1.27%8.84B
-18.08%8.06B
-1.54%8.62B
-8.51%8.76B
-16.89%7.99B
-6.93%8.73B
11.66%9.84B
-8.51%8.76B
7.48%9.57B
0.64%9.62B
Current changes in cash
449.10%2.51B
169.72%783M
-151.87%-556M
77.75%-166M
166.52%604M
-318.54%-719M
-296.67%-1.12B
245.26%1.07B
-211.68%-746M
-11,450.00%-908M
Effect of exchange rate changes
218.18%26M
-94.12%1M
-145.45%-5M
145.59%31M
-47.92%25M
77.08%-22M
--17M
155.00%11M
-3,300.00%-68M
585.71%48M
End cash position
42.40%11.38B
1.27%8.84B
-18.08%8.06B
-1.54%8.62B
-1.54%8.62B
-16.89%7.99B
-6.93%8.73B
11.66%9.84B
-8.51%8.76B
-8.51%8.76B
Free cash flow
242.74%3B
228.76%1.7B
37.14%1.39B
6.53%4.5B
80.28%2.09B
-34.21%875M
-62.16%518M
178.08%1.02B
31.83%4.23B
-23.47%1.16B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 229.51%3.05B206.60%1.72B36.74%1.44B6.31%4.69B76.09%2.14B-32.58%925M-60.18%561M158.19%1.06B32.54%4.41B-21.53%1.22B
Net income from continuing operations -41.40%511M-6.85%829M137.41%990M-18.83%2.56B-41.91%377M-17.81%872M44.95%890M-49.45%417M-7.84%3.15B-52.21%649M
Operating gains losses -96.92%2M-41.67%7M300.00%4M29.41%88M-71.43%10M282.35%65M-36.84%12M133.33%1M111.89%68M218.18%35M
Deferred tax -293.48%-89M-71.30%31M572.92%227M-88.39%18M35.77%-88M-71.25%46M376.92%108M-128.07%-48M70.33%155M-589.29%-137M
Other non cash items ---------120.00%-1M-116.33%-16M-120.00%-1M-107.14%-6M---14M--5M2,350.00%98M150.00%5M
Change in working capital 4,927.78%2.61B290.81%851M-66.57%224M148.57%2.01B182.03%1.84B-437.50%-54M-158.99%-446M208.77%670M497.78%807M438.02%651M
-Change In restricted cash 42.50%-184M1.19%340M-28.46%-158M91.67%-8M-34.00%99M-566.67%-320M554.05%336M0.81%-123M-484.00%-96M19.05%150M
-Change in receivables 271.61%266M--------607.69%276M-127.12%-48M-268.48%-155M266.42%223M366.67%256M106.87%39M185.10%177M
-Change in loss and loss adjustment expense reserves 2,255.13%1.84B1,350.00%1.16B-58.25%448M392.94%3.07B515.38%1.84B558.82%78M-86.14%80M554.66%1.07B-42.84%623M455.95%299M
-Change in deferred acquisition costs -33.33%8M-58.82%7M-47.83%12M-4.48%64M-36.84%12M-20.00%12M-5.56%17M53.33%23M937.50%67M-84.17%19M
-Change in payables and accrued expense 61.54%189M32.53%220M-99.09%-436M261.64%354M48.72%290M164.64%117M-27.19%166M52.49%-219M-173.00%-219M26.62%195M
-Change in funds withheld 800.00%357M19.20%-202M128.66%90M-126.38%-781M6.21%-166M73.98%-51M-171.74%-250M-361.67%-314M-1,426.92%-345M-349.30%-177M
-Change in other working capital -49.43%134M38.21%-629M1,130.77%268M-231.44%-970M-1,491.67%-191M-24.50%265M-536.91%-1.02B-115.66%-26M201.10%738M79.31%-12M
Cash from discontinued operating activities
Operating cash flow 229.51%3.05B206.60%1.72B36.74%1.44B6.31%4.69B76.09%2.14B-32.58%925M-60.18%561M158.19%1.06B32.54%4.41B-21.53%1.22B
Investing cash flow
Cash flow from continuing investing activities 148.03%635M105.78%166M81.91%-569M31.81%-9.26B55.78%-1.92B71.56%-1.32B1.81%-2.87B-88.95%-3.15B-210.11%-13.58B-44.40%-4.34B
Net investment purchase and sale 153.41%767M106.71%201M78.08%-734M28.16%-9.72B55.65%-1.94B67.89%-1.44B-1.63%-3B-92.36%-3.35B-346.22%-13.53B-84.95%-4.36B
Net proceeds payment for loan -112.90%-66M-110.81%-78M-236.36%-37M-247.37%-132M-2,550.00%-53M-444.44%-31M-42.31%-37M42.11%-11M-205.56%-38M95.00%-2M
Net PPE purchase and sale 2.00%-49M60.47%-17M-26.83%-52M-1.10%-184M10.71%-50M-19.05%-50M-7.50%-43M6.82%-41M-51.67%-182M-64.71%-56M
Net business purchase and sale -351.92%-131M-296.97%-65M75.00%105M169.23%216M244.90%71M121.49%52M335.71%33M957.14%60M72.44%-312M90.60%-49M
Net other investing changes -20.28%114M-26.47%125M-23.59%149M17.09%555M-63.28%47M45.92%143M66.67%170M33.56%195M456.39%474M341.51%128M
Cash from discontinued investing activities
Investing cash flow 148.03%635M105.78%166M81.91%-569M31.81%-9.26B55.78%-1.92B71.56%-1.32B1.81%-2.87B-88.95%-3.15B-210.11%-13.58B-44.40%-4.34B
Financing cash flow
Cash flow from continuing financing activities -264.29%-1.17B-192.69%-1.1B-145.26%-1.43B-47.67%4.41B-82.81%381M-108.93%-322M-43.03%1.19B510.42%3.16B389.26%8.43B51.43%2.22B
Net issuance payments of debt -2.86%-108M501.49%269M-109.04%-64M-6.83%300M-3,833.33%-236M-130.97%-105M-113.62%-67M240.76%708M-47.13%322M14.29%-6M
Net common stock issuance -6.79%-582M-15.06%-573M-1.78%-628M-7.53%-2.13B4.30%-467M-8.78%-545M-11.16%-498M-14.05%-617M2.56%-1.98B13.32%-488M
Cash dividends paid -4.32%-145M-4.26%-147M-2.99%-138M-3.00%-550M-2.26%-136M-2.96%-139M-2.92%-141M-3.88%-134M-4.50%-534M-4.72%-133M
Proceeds from stock option exercised by employees --------------0------------------0----
Net other financing charges -172.38%-338M-134.39%-652M-118.75%-601M-36.08%6.79B-57.10%1.22B-88.03%467M-13.11%1.9B89.53%3.21B190.64%10.62B31.67%2.84B
Cash from discontinued financing activities
Financing cash flow -264.29%-1.17B-192.69%-1.1B-145.26%-1.43B-47.67%4.41B-82.81%381M-108.93%-322M-43.03%1.19B510.42%3.16B389.26%8.43B51.43%2.22B
Net cash flow
Beginning cash position 1.27%8.84B-18.08%8.06B-1.54%8.62B-8.51%8.76B-16.89%7.99B-6.93%8.73B11.66%9.84B-8.51%8.76B7.48%9.57B0.64%9.62B
Current changes in cash 449.10%2.51B169.72%783M-151.87%-556M77.75%-166M166.52%604M-318.54%-719M-296.67%-1.12B245.26%1.07B-211.68%-746M-11,450.00%-908M
Effect of exchange rate changes 218.18%26M-94.12%1M-145.45%-5M145.59%31M-47.92%25M77.08%-22M--17M155.00%11M-3,300.00%-68M585.71%48M
End cash position 42.40%11.38B1.27%8.84B-18.08%8.06B-1.54%8.62B-1.54%8.62B-16.89%7.99B-6.93%8.73B11.66%9.84B-8.51%8.76B-8.51%8.76B
Free cash flow 242.74%3B228.76%1.7B37.14%1.39B6.53%4.5B80.28%2.09B-34.21%875M-62.16%518M178.08%1.02B31.83%4.23B-23.47%1.16B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--
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