Steven Siesser - 11 Sep 2025 Form 3 Insider Report for OTG Acquisition Corp. I

Signature
/s/ STEVEN SIESSER
Issuer symbol
OTGA, OTGAU, OTGAW on Nasdaq
Transactions as of
11 Sep 2025
Net transactions value
$0
Form type
3
Filing time
15 Sep 2025, 20:45:04 UTC

Reporting Owners (1)

Name Relationship Address Signature Signature date CIK
Siesser Steven Director, 10%+ Owner C/O OTG ACQUISITION CORP. I, 12003 CIELO COURT, PALM BEACH GARDENS /s/ STEVEN SIESSER 15 Sep 2025 0002085888

Transactions Table

Type Sym Class Transaction Value $ Shares Change % * Price $ Shares After Date Ownership Footnotes
holding OTGA Class A ordinary shares, par value $0.0001 per share 500,000 11 Sep 2025 See footnotes F1, F2

Derivative Securities (e.g., puts, calls, warrants, options, convertible securities)

Type Sym Class Transaction Value $ Shares Change % * Price $ Shares After Date Underlying Class Amount Exercise Price Ownership Footnotes
holding OTGA Class B ordinary shares, par value $0.0001 per share 11 Sep 2025 Class A ordinary shares, par value $0.0001 per share 5,750,000 See footnotes F3, F4, F5, F6
* An asterisk sign (*) next to the price indicates that the price is likely invalid.

Explanation of Responses:

Id Content
F1 The shares are owned directly by OTG Acquisition Sponsor LLC (the "Sponsor"). The Sponsor is controlled by Mr. Steven Siesser (the "reporting person"), as a result of his role as managing member of the Sponsor. As a result, the reporting person may be deemed to have beneficial ownership of the Class B ordinary shares and the Private Placement Units (as defined below) (including the Private Placement Shares (as defined below) included in such units) held by the Sponsor. The reporting person disclaims such beneficial ownership except to the extent of the Sponsor's pecuniary interest therein.
F2 Represents Class A ordinary shares, par value $0.0001 per share, of the Issuer (the "Private Placement Shares") that are included in the 500,000 private placement units (the "Private Placement Units") that will be purchased by the Sponsor from the Issuer in a private placement at $10.00 per Private Placement Unit, as described in the Issuer's registration statement on Form S-1 (File No. 333-289828) (the "Registration Statement"). Each Private Placement Unit is comprised of one Private Placement Share and one-half of one warrant (the "Private Placement Warrants"), each whole Private Placement Warrant exercisable to purchase one Private Placement Share. Does not represent any Private Placement Shares issuable upon the exercise of Private Placement Warrants.
F3 The Class B ordinary shares are owned directly by the Sponsor. The Sponsor is controlled by the reporting person, as a result of his role as managing member of the Sponsor. As a result, each of the Sponsor and the reporting person may be deemed to have beneficial ownership of the Class B ordinary shares and the Private Placement Units (including the Private Placement Shares included in such units) held by the Sponsor.
F4 The reporting person under this Form 3 disclaims beneficial ownership of the Class B ordinary shares reported herein except to the extent of his pecuniary interest therein and the filing of this Form 3 shall not be construed as an admission that the reporting person is the beneficial owner of any Class B ordinary shares covered by this Form 3.
F5 Pursuant to the Issuer's amended and restated memorandum and articles of association, the Class B ordinary shares have no expiration date and will automatically convert into Class A ordinary shares at the time of the Issuer's initial business combination on a one-for-one basis subject to adjustment pursuant to certain anti-dilution rights.
F6 The Class B ordinary shares reported herein include up to 750,000 Class B ordinary shares that are subject to forfeiture to the extent the underwriters of the initial public offering of the Issuer's securities do not exercise in full their over-allotment option, as described in the Registration Statement. The over-allotment option of the underwriters expires 45 days from the date of the final prospectus related to the Issuer's initial public offering.

Remarks:

Exhibit 24 - Power of Attorney