Ameriprise Financial, Inc.

NYSE:AMP

518.63 (USD) • At close June 6, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

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Operating Activities:
Net Income 3,4012,5562,5592,7601,5341,8932,0981,4801,3141,6872,0001,4759019701,260737-38814631558794
Depreciation & Amortization -159-154-40982071831982342482482542392251101101202047806862950
Deferred Income Tax 12518-4-87-321-30825156-34-131228-1185061513-25-409252434-34
Stock Based Compensation 19324917015214613514412113414513014313414515818214805200
Change In Working Capital 3,0122,0391,5569702,992651137-355311753199-19323777243-1,766-4025713426-31
Accounts Receivables 21527644324324324-398-457-150-277-423-267-130-260-48400-101-85620
Inventory 00175-370-370-37000-9349008336042200-195-105-490
Accounts Payables 00-219464646-1002061738200171-801950015898210
Other Working Capital 2,7971,7631,5569702,992651137-355297599199-193-101757110-1,766-402195105392-31
Other Non Cash Items 23-23166-56865-213-565-2-130-412-182172115-249-5062,499-782-787-368182
Operating Cash Flow 6,5954,6854,4073,3254,6232,3412,5971,7011,9712,5722,3991,3641,5052,1782,035-1,2582,002845619945911
Investing Activities:
Investments In Property Plant And Equipment -176-184-182-120-147-143-162-162-92-133-113-105-137-250-131-83-125-306-187-141-125
Acquisitions Net -80-312-1,132-35197467581576-669-1,181-473712-2,721-2,794-97-56311543704
Purchases Of Investments -18,751-19,869-22,752-15,367-14,147-12,507-9,132-5,906-6,789-4,868-4,535-6,127-5,360-7,658-7,792-232-3,956-1,908-151-9,339-9,955
Sales Maturities Of Investments 18,16910,1529,22712,33611,5938,8908,0285,6805,0405,0725,0755,7768,9129,85310,1173694,7087,1546,0379,7347,398
Other Investing Activites 215639436-97158-44841084618439127290-370-322-6,390-49-560-2,613-50936
Investing Cash Flow -551-9,262-13,583-4,380-2,894-3,234-587-199-804-514-715-8024,417-1,146-922-6,433154,4953,523-255-2,642
Financing Activities:
Debt Repayment -29230032260942100-605-129-2795211,1901,071-539-35348193-32-3,7952321,267-60
Common Stock Issued 0000000000000008690372000
Common Stock Repurchased -2,448-2,127-1,978-2,030-1,441-1,943-1,630-1,485-1,707-1,741-1,577-1,583-1,381-1,495-582-11-638-989-49000
Dividends Paid -574-550-534-511-497-504-506-491-479-465-426-401-305-212-354-164-143-133-108-270
Other Financing Activities -1,8516,78810,6203,6552,8483,5611,4783201,323-711-844607-4,117949-1,0593,8031,283636-3,591-8641,778
Financing Cash Flow -5,1654,4118,4301,7239521,214-1,263-1,785-1,131-2,318-1,657-306-6,342-1,111-1,3434,545429-4,269-3,9372071,718
Other Information:
Effect Of Forex Changes On Cash -1031-68-299-835-75-21-21510-1-615-54538-1913
Net Change In Cash 869-135-8146662,690330739-248-39-2816261-410-80-236-3,1312,3921,0762431,3960
Cash At End Of Period 9,4898,6208,7559,5698,9036,2135,8835,1442,3182,3572,6382,6322,3712,7812,8613,0976,2283,8362,7172,4741,078